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AU DUMMY PORTFOLIO

15.3%
Since Sept 2019
vs the SPDR 200 Index: 7.3%
Updat­ed 2026-05-01. Returns are per annum. Per­for­mance inc div­i­dends..

AU LIGHT PORTFOLIO

19.6%
Since Feb 2022
vs the SPDR 200 Index: 10.3%
Updat­ed 2026-05-01. Returns are per annum. Per­for­mance inc div­i­dends..

US PORTFOLIO

110.1%
Since Sept 2023
vs the S&P 500 Index: 62.2%
Updat­ed 2026-05-01. Total return, excludes div­i­dends. Per­for­mance does not inc div­i­dends..

AU DUMMY PORTFOLIO

15.3%
Since Sept 2019
vs the SPDR 200 Index: 7.3%
Updat­ed 2026-05-01. Returns are per annum. Per­for­mance inc div­i­dends..

QAV (Qual­i­ty At Val­ue) is a method­ol­o­gy for val­ue invest­ing, devel­oped by Aus­tralian investor Tony Kynas­ton over 30+ years.

We teach the sys­tem on our pod­cast and pro­vide mem­bers with buy lists for the U.S. and Aus­tralian mar­kets.

AU LIGHT PORTFOLIO

19.6%
Since Feb 2022
vs the SPDR 200 Index: 10.3%
Updat­ed 2026-05-01. Returns are per annum. Per­for­mance inc div­i­dends..

QAV Light Performance

19.6%
Since Feb 2022
vs the SPDR 200 Index: 10.3%
Updat­ed 2026-05-01. Returns are per annum. Per­for­mance inc div­i­dends..

QAV Dummy Performance

15.3%
Since Sept 2019
vs the SPDR 200 Index: 7.3%
Updat­ed 2026-05-01. Returns are per annum. Per­for­mance inc div­i­dends..

Both of our port­fo­lios have achieved long-term dou­ble mar­ket per­for­mance by fol­low­ing a set of test­ed trad­ing rules.

QAV US Performance

110.1%
Since Sept 2023
vs the S&P 500 Index: 62.2%
Updat­ed 2026-05-01. Total return, excludes div­i­dends. Per­for­mance does not inc div­i­dends..

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