Introduction
Q1 2019 was almost an exact mirror or Q4 2018, just in an upwards direction. The individual stocks in my portfolio experienced a return of 12.83% during Q1 while the index fund portion of my portfolio experienced a return of 9.26%.
During the quarter, I rearranged the index fund portfolio to be 100% equities after being challenged in my last article about the logic of including a market correlated bond fund in the Vanguard Long-Term Corporate Bond Index ETF ([[VCLT]]). I also had covered calls in Roku Inc. ([[ROKU]]) and Symantec Corporation ([[SYMC]]) called