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Martin Klein, Pensacola, FL

No Load Navigator subscriber since 2002

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NEWSLETTER RESULTS
All four of our Newsletters have a long track record of beating the markets. But don't take our word for it. Check out our results for yourself!
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PAST PREDICTIONS
Why do our newsletters consistently achieve great results? Look back at our predictions over the years and see how we viewed the market!
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AUTO PILOT
The Navigator Auto Pilot is a program designed to make managing your investment accounts simple and care free while producing the results you want.
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FIDELITY NAVIGATOR • NO-LOAD NAVIGATOR • MF/ETF NAVIGATOR • SECTOR NAVIGATOR
Results

The Proof is in Our Results!

Here at a glance you can see the historical performance of our various newsletters - Fidelity Navigator, No-Load Navigator, Mutual Fund ETF Navigator and Sector Navigator. Good results are just the beggining. Click to learn more about the "Navigator Newsletter Advantage"

 

Fidelity Navigator - click here for more information
Portfolio 2003 2004 2005 2006 2007 2008 2009 * $100,000 Investment
Capital Appreciation
36.21% 20.72% 15.53% 9.15% 16.06% -31.25% 24.58% $190,174.25
Growth & Income
31.97% 16.76% 8.66% 9.92% 7.50% -20.35% 10.68% $181,214.30
S&P 500 Benchmark
28.69% 10.90% 3.00% 13.62% 3.53% -38.49% 23.45% $90,510.16
* - Total numbers reflect performance since each portfolio inception. 1/1/2001

 

No-Load Navigator - click here for more information
Portfolio
2003
2004
2005
2006
2007
2008
2009
* $100,000 Investment
Capital Appreciation
30.98% 19.48% 9.98% 14.06% 12.74% -32.25% 23.28% $153,393.66
Growth& Income
31.99% 16.09% 8.92% 15.29% 4.85% -29.50% 8.56% $149,578.23
S&P 500 Benchmark
28.69% 10.90% 3.00% 13.62% 3.53% -38.49% 23.45% $9,0510.16
* - Total numbers reflect performance since each portfolio inception. 1/1/2001

 

Mutual Fund/ETF Navigator - click here for more information
Portfolio
2004
2005
2006
2007
2008
2009
* $100,000 Investment
Capital Appreciation Model
12.74% 7.32% 12.25% 9.41% -28.41% 21.81% $163,380.03
Growth & Income
12.14% 5.27% 13.20% 6.95% -22.20% 7.86% $143,073.43
S&P 500 Benchmark
10.90% 3.00% 13.62% 3.53% -38.49% 23.45% $131,293.96
* - Total numbers reflect performance since each portfolio inception. 1/1/2003

 

Sector Navigator - click here for more information
Portfolio
2004
2005
2006
2007
2008
2009
* $100,000 Investment
Rydex/Profunds
Sector Model
23.71% 12.24% 14.37% 5.61% -1.79% -8.97% $189,490.35
ETF Sector Model
13.50% 10.74% 14.56% 9.45% -4.23% 2.95% $200,389.53
Fidelity Select Sector
25.79% 11.54% 11.36% 5.20% -34.45% 27.83% $182,826.62
S&P 500 Benchmark
10.50% 3.00% 13.62% 3.53% -38.49% 23.45% $126,837.74
* - Total numbers reflect performance since each portfolio inception. 9/1/2002