Harry Browne’s Permanent Portfolio: stocks, long Treasuries, cash and gold, a quarter each.
Measured on 2026-09-15
4 holdings. 66% of the movement travels in one shared direction. GLD is 25% of the money and 44% of the risk.
| Holding | Money | Risk | Ratio |
|---|---|---|---|
| GLD | 25% | 44% | 1.77 |
| VTI | 25% | 36% | 1.44 |
| TLT | 25% | 20% | 0.80 |
| SHV | 25% | 0% | 0.00 |
First measured on 2026-09-15. The comparison with the week before appears after seven days of measurements.
PORTFOLIO: Permanent 2007-01-11 to 2026-09-15 · 4,949 trading days · USD 4 holdings. 66% is one shared direction, led by GLD, TLT, VTI. GLD: 25% of the money, 44% of the risk. Volatility 7% · worst fall on record 18%. Risk 8% → 10% over the last year, mostly because the holdings moved together differently. Descriptive. No forecast, no advice. Every figure above is measured over the window named at the top. riskcopilot.app
Change a weight, swap a fund, add what you hold: measured by the same engine, nothing saved on our side.
Measure your versionOpen the appMeasured 2007-01-11 to 2026-09-15 over 4,949 trading days, in USD, from yahoo prices. Descriptive: this page reports what these holdings have done and how their risk is built. It does not forecast returns or losses and it is not advice. How every figure is measured. Terms and privacy: /terms. If a figure looks wrong: [email protected].