I tried to construct a low cost FF 5 Factor portfolio and compared it to the total stock market and a 60/40 SCV/LCG stock fund mainly for accumulation. Am I missing something on the Fama-French portfolio because it behaved the worst over the last 8 years? Is there a way to get more robust data from longer funds that might show better returns over the past 3-4 decades? Should I just use FF portfolios for decumulation? Here are the portfolios
https://testfol.io/?s=jHyoLkmu0Hi
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Joined: Mon Oct 06, 2025 1:06 am
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