Copyright © 2009-2010 Cohne Holdings LLC. All rights reserved.
Cohne Investment Group Returns
Through 4/30/10

Back test results (5, 3 & 1 Yr) are annualized.








ETF Models (Tactical)
YTD
5Yr
3Yr
1Yr
Cohne Tactical Asset Allocation
7.4
21.9
20.6
41.1
Cohne Tactical Sector Allocation
9.8
20.5
20.5
37.4
Cohne Tactical International Allocation
-1.5
32.7
33.0
43.9
Cohne Tactical Income Allocation
2.2
7.1
7.9
12.0
S&P 500 Index
7.0
2.4
-5.4
38.5
ETF Models (Trader)
YTD
5Yr
3Yr
1Yr
Cohne Tactical Aggressive Allocation
7.1
32.8
42.5
40.3
Cohne Tactical Ultra Allocation
19.5
41.2
50.5
88.0
S&P 500 Index
7.0
2.4
-5.4
38.5
Mutual Fund Models
YTD
2009
2008
2007
Cohne Aggressive Growth
6.2
36.4


Cohne Growth
6.9
36.2
-34.2
21.3
Cohne Growth & Income
5.3
29.6


Cohne Income
4.6
26.8


S&P 500 Index
7.0
26.5
-37.0
5.5
Stock Models
YTD
5Yr
3Yr
1Yr
Cohne Quantitative Growth
16.4
46.4
34.8
19.0
Cohne Quantitative Growth L-S
16.4
59.0
54.7
6.8
S&P 500 Index
7.0
2.4
-5.4
38.5
For independently-audited results, please click here.