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I picked up the portfolios recommanded by VL on January 9, 1998. For the heck of it, I compared to the value on May 2nd, 2000.

Interesting discovery, indeed.

Portfolio 1 (Stocks for performance): 60% of those went down, by 50% in many cases.

Portfolio 2 (Performance and Income): 90% of those went down.

Portfolio 3 (Long Term growth): 50% of those went down.

Is it worth paying so much money for "that" ?

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