Monday, July 04, 2016

6/26/15 Monthly MFI Tracking Portfolio

Magic Formula Investing Tracking

Another month/year has flown by. And so it is time to look at another monthly tracking portfolio as we reach Independence Day 2016.  As my faithful readers know, I have been tracking the Magic Formula Stocks as described by Joel Greenblatt in The Little Book That Beats the Stock Market since January 2006.  Every month I take the top 50 stocks over $100m market cap from his website and track how that portfolio of stocks fares versus the Russell 3000 for the next 12 months.  It has been an uphill struggle as the tracking portfolios have under-performed, driven in part by Chinese reverse merger fiascos, for-profit education stocks and home health care stocks all being proverbial albatrosses.

Onward

 Fearless readers will recall we had a 29 month "losing streak"..  Then we had a 13 month winning streak. This month, MFI lost by about 9 points. That makes it 15 of the last 16 to close have lost. In addition, this was the eighth straight portfolio to lose $ (sadly, 9 of 11 open portfolios are also trailing).  Here are the 50 stocks in descending performance order:


Stock  Initial Price   End Price  Percent Change  52 week low   Mkt Cap 
WTW                5.10           11.71 129.6%                 3.67            291
VA              27.93           56.44 102.1%               26.30         1,206
ONE                2.89             5.11 76.8%                 1.85            138
GORO                2.72             3.90 43.6%                 1.14            152
RTN              94.91         134.82 42.0%               95.32       29,914
KING              14.08           18.00 27.8%               12.00         4,440
OMC              68.96           81.69 18.5%               64.12       17,307
SPOK              16.30           19.09 17.1%               15.26            371
PPC              21.42           24.94 16.4%               17.39         6,196
VEC              25.21           29.20 15.8%               17.25            265
CA              28.83           32.78 13.7%               25.16       13,017
KORS              44.91           50.08 11.5%               34.83         9,118
IQNT              18.27           20.02 9.6%               14.56            634
STRA              46.04           49.97 8.5%               41.50            505
DLX              61.58           66.44 7.9%               49.46         3,139
AGX              39.15           41.48 5.9%               28.03            586
CSCO              27.37           28.80 5.2%               22.46     144,030
CLCT              19.19           19.76 2.9%               11.66            185
HPQ              30.34           31.22 2.9%                 8.91       55,046
CPLA              53.88           53.15 -1.4%               39.06            680
IDCC              56.68           55.11 -2.8%               41.01         2,068
TIVO              10.56             9.91 -6.2%                 7.29         1,025
DEPO              21.35           19.83 -7.1%               12.25         1,280
FLR              53.62           49.24 -8.2%               39.48         8,019
PBI              20.66           17.79 -13.9%               16.24         4,319
QCOM              62.31           53.00 -14.9%               42.24     105,606
MSB              12.98           10.84 -16.5%                 3.00            177
NSR              29.88           24.23 -18.9%               20.00         1,673
NSU                3.77             3.02 -19.8%                 2.27            793
HRB              29.75           23.38 -21.4%               19.18         8,418
PSDV                3.81             2.95 -22.6%                 2.37            112
BRCD              12.00             9.25 -22.9%                 7.40         5,115
LQDT              10.22             7.79 -23.8%                 4.42            307
GILD            117.29           84.86 -27.7%               77.92     176,502
TDC              37.30           25.25 -32.3%               21.98         5,293
VIAB              63.95           41.53 -35.1%               30.11       26,379
GME              42.17           27.06 -35.8%               24.33         4,743
EVOL                8.27             5.21 -37.0%                 4.79            104
BKE              44.02           25.95 -41.1%               22.00         2,281
OUTR              74.20           42.76 -42.4%               24.81         1,418
APOL              16.35             9.10 -44.3%                 6.31         1,760
RPXC              16.82             9.24 -45.1%                 8.60            951
PDLI                5.90             3.22 -45.4%                 2.58         1,065
ENTA              43.96           22.61 -48.6%               16.75            822
XENE              12.19             6.21 -49.1%                 5.65            173
ESI                4.29             1.92 -55.2%                 1.57            101
VNCE              12.11             5.17 -57.3%                 3.31            445
LCI              58.95           24.94 -57.7%               16.91         2,130
UIS              20.51             7.15 -65.1%                 6.72         1,023
NLNK              44.60           11.64 -73.9%                 9.23         1,437


Obviously when 21 of the 50 stocks are down 20% or more over a year - it is a struggle.  We did have a couple big winners this time though, WTW and VA.

I have mentioned that a "Dogs of MFI" approach has shown some promise.  AVID and PDLI are still on the list.  It would take some courage to buy any of those - but I guess that is why they are called dogs. I did find another site that has been tracking since 2006 this week.  It uses a different approach, just 5 stocks picked randomly every quarter. They have had better results than me (TrackJGreenblatt's Stock Picks). I found it very interesting and would encourage people to take a looksee.

Here is a listing of every portfolio I have tracked:

Date MFI R3K Lead
1/6/2006 16.0% 10.9% 1
2/17/2006 21.2% 14.6% 1
3/29/2006 13.0% 9.6% 1
4/7/2006 10.3% 12.1% 0
5/12/2006 20.4% 18.6% 1
5/31/2006 29.2% 23.3% 1
6/30/2006 22.4% 20.0% 1
7/31/2006 19.7% 17.3% 1
8/31/2006 13.0% 13.3% 0
9/28/2006 12.7% 14.6% 0
10/27/2006 10.3% 12.0% 0
11/29/2006 -0.3% 4.8% 0
12/28/2006 -6.9% 3.4% 0
1/26/2007 -10.2% -6.6% 0
2/27/2007 -3.7% -1.0% 0
3/26/2007 -9.8% -5.5% 0
4/27/2007 -10.9% -5.0% 0
5/29/2007 -11.5% -6.3% 0
7/3/2007 -30.0% -15.6% 0
7/30/2007 -19.9% -11.5% 0
8/30/2007 -12.5% -8.7% 0
9/27/2007 -19.0% -18.2% 0
11/2/2007 -40.4% -34.3% 0
11/28/2007 -40.1% -38.3% 0
12/28/2007 -36.3% -40.0% 1
1/25/2008 -36.4% -35.9% 0
2/26/2008 -51.7% -41.5% 0
3/24/2008 -40.9% -36.8% 0
4/25/2008 -25.6% -31.0% 1
5/28/2008 -22.2% -33.6% 1
7/2/2008 -11.7% -25.3% 1
7/29/2008 -10.5% -20.9% 1
8/29/2008 -13.8% -17.9% 1
9/26/2008 -4.3% -10.0% 1
10/31/2008 18.7% 13.9% 1
11/26/2008 50.9% 27.7% 1
12/26/2008 48.9% 32.3% 1
1/23/2009 59.3% 36.4% 1
2/27/2009 92.8% 55.6% 1
3/27/2009 85.8% 48.1% 1
4/24/2009 69.7% 45.8% 1
5/29/2009 31.8% 22.8% 1
6/29/2009 21.3% 24.0% 0
7/29/2009 19.5% 15.9% 1
8/28/2009 7.4% 8.8% 0
9/25/2009 12.6% 12.4% 1
10/30/2009 22.7% 18.3% 1
11/27/2009 24.3% 13.6% 1
12/31/2009 23.7% 18.1% 1
1/22/2010 19.0% 20.6% 0
2/26/2010 18.6% 23.6% 0
3/25/2010 10.0% 15.4% 0
4/23/2010 7.1% 11.4% 0
5/28/2010 19.3% 25.4% 0
6/29/2010 16.7% 25.7% 0
7/29/2010 5.4% 20.1% 0
9/2/2010 7.3% 10.1% 0
9/24/2010 -4.3% 0.3% 0
10/29/2010 -2.9% 10.4% 0
11/26/2010 -8.5% 1.4% 0
1/3/2011 -11.4% 0.1% 0
1/28/2011 -7.6% 4.9% 0
2/25/2011 -5.5% 5.0% 0
3/24/2011 -4.4% 7.4% 0
4/21/2011 -16.0% 3.2% 0
5/27/2011 -12.0% -0.4% 0
6/24/2011 -9.5% 5.0% 0
7/29/2011 -4.3% 8.1% 0
8/26/2011 12.0% 21.6% 0
9/30/2011 23.5% 29.6% 0
10/28/2011 0.4% 11.5% 0
11/25/2011 13.9% 24.0% 0
12/29/2011 9.9% 15.9% 0
1/27/2012 7.4% 16.6% 0
2/24/2012 7.8% 13.3% 0
3/23/2012 9.1% 15.2% 0
4/27/2012 10.5% 15.3% 0
5/25/2012 26.5% 27.5% 0
6/22/2012 26.1% 24.6% 1
7/27/2012 30.4% 25.7% 1
8/24/2012 26.0% 19.8% 1
9/28/2012 39.3% 22.1% 1
10/26/2012 48.3% 28.9% 1
11/23/2012 45.7% 32.1% 1
12/31/2012 52.3% 33.0% 1
1/25/2013 39.5% 22.0% 1
2/22/2013 46.5% 26.4% 1
3/28/2013 40.1% 21.2% 1
4/26/2013 35.0% 20.5% 1
5/24/2013 20.4% 19.2% 1
6/28/2013 26.9% 24.1% 1
7/29/2013 17.8% 19.0% 0
8/30/2013 17.5% 24.6% 0
9/27/2013 12.9% 17.7% 0
10/25/2013 11.8% 15.4% 0
11/29/2013 12.3% 15.6% 0
12/31/2013 12.7% 11.9% 1
1/31/2014 14.2% 13.0% 1
2/28/2014 15.4% 13.9% 1
3/28/2014 6.1% 12.3% 0
4/25/2014 8.6% 15.8% 0
5/30/2014 5.9% 11.7% 0
6/27/2014 2.5% 9.2% 0
7/25/2014 3.3% 8.7% 0
8/29/2014 -2.2% 1.0% 0
9/26/2014 -0.6% -0.9% 1
10/31/2014 4.3% 4.4% 0
11/28/2014 -2.9% 2.9% 0
12/31/2014 -9.3% 0.3% 0
1/30/2015 -12.4% -2.8% 0
2/27/2015 -19.0% -7.3% 0
3/27/2015 -17.1% -1.9% 0
4/24/2015 -15.4% -0.8% 0
5/29/2015 -14.1% 0.1% 0
6/26/2015 -8.7% 0.4% 0
7/30/2015 -2.7% 0.4% 0
8/28/2015 -0.7% 6.2% 0
9/25/2015 1.1% 9.3% 0
10/30/2015 -0.9% 2.1% 0
11/27/2015 -3.1% 1.1% 0
12/31/2015 0.6% 3.8% 0
1/29/2016 7.4% 10.0% 0
2/26/2016 5.8% 9.2% 0
3/24/2016 6.6% 4.3% 1
4/22/2016 -1.9% 0.9% 0
5/27/2016 2.2% 0.4% 1

Wow, that is a bad streak. At what point to say it doesn't work?

Subsets

I also have tracked 2 subsets of the larger portfolios:  (1) dividend stocks (those with a yield per Yahoo of at least 2.6%) and (2) new stocks (those new to the tracking portfolios in past 12 months.  I have added a third one , which I call "dogs".  It is like the dogs of the Dow in that you take the worst five performing stocks from the prior year that renew or all those that dropped more that 29%. The dividend portfolio was "ok", down about 0.5%.   The Dogs portfolio was on par, down 7.8%.  The New approach was terrible, down 49% (only XENE).  Finally, I like to track cash as it is more "honest" than percentages as if you go up by 25% and then down by 25%, that is a different result than up by 5% then down by 5%.  So I track what you would have today if you had spread $100,000 over the first twelve portfolios evenly.


Category Value
Total      171,223
Total Russell 3K      199,966
New      155,771
Dogs      241,966
Dividend      377,436


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