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You are here: Home / 2025 / Archives for February 2025

Archives for February 2025

McClintock Sector BPI Portfolio Review: 20 February 2025

February 20, 2025 By Lowell Herr

McClintock is one of three Sector BPI portfolio tracked here on the ITA blog.  Based on the latest Bullish Percent Indicator data there are no new recommendations.  None of the sectors held in the McClintock are overbought and there are no oversold sectors.  Therefore we will continue to hold Materials, Energy, and Real Estate.  After […]

Filed Under: McClintock Portfolio, Sector BPI Tagged With: McClintock Portfolio

Gauss Asset Allocation Portfolio Review: 19 February 2025

February 19, 2025 By Lowell Herr

Gauss is one of the portfolios converted from the Sector BPI investing model over to a simplified Asset Allocation investing model.  This will reduce workload as well as shift investments toward a more conservative asset allocation.  As with the Millikan portfolio, update posted yesterday, the Gauss is moving toward a very low beta value.  There […]

Filed Under: Gauss Portfolio, Asset Allocation, Passive vs. Active, Portfolio Management Tagged With: Gauss Portfolio

Millikan Asset Allocation Portfolio Review: 18 February 2025

February 18, 2025 By Lowell Herr

Millikan is the asset allocation portfolio scheduled for review this morning.  This is a simplified version of other asset allocation portfolios in that the Millikan is using only six ETFs.  With the Millikan there is less emphasis on equities.  Bonds and treasuries make up a higher percentage of this portfolio, thus reducing the beta.  The […]

Filed Under: Millikan Portfolio, Asset Allocation, Passive vs. Active, Portfolio Management Tagged With: Millikan Portfolio

Rutherford-Darwin Portfolio Review: 14 February 2025

February 16, 2025 By hedgehunter

It was another week of choppy sideways movement in US equities although the SPX did close higher by ~1.5% and close to the all-time highs that have been providing strong resistance over the past 3 months: However, we remain well within the bullish uptrend channel so we will watch to see where we might go […]

Filed Under: Rutherford Portfolio, Darwin Portfolio, Options, Portfolio Management, Portfolio Performance Tagged With: Darwin Portfolio, Options, Portfolio Management, Portfolio Performance, Rutherford Portfolio

Carson Sector BPI Portfolio Review: 14 February 2025

February 14, 2025 By Lowell Herr

Happy Valentine’s Day Today marks the 17th anniversary of the ITA Wealth Management blog.  Posts do not go back to 2008 as the site was hacked around 2013 by a Swedish hacker causing the loss of over 1000 posts.  I moved to a more secure server since this unfortunate event.  Many out-of-date posts have been […]

Filed Under: Carson Portfolio, Portfolio Management, Sector BPI Tagged With: Carson Portfolio, Sector BPI

Kepler Portfolio Review: 13 February 2025

February 13, 2025 By Lowell Herr

Kepler is the small portfolio up for review this morning.  The owner is rebuilding this portfolio as it looks like all educational expenses are in the rear view mirror.  As readers will see in the following update, this portfolio is finally coming into balance.  In other words, the various assets are closing in on the […]

Filed Under: Kepler Portfolio, Asset Allocation, Passive vs. Active, Portfolio Management Tagged With: Asset Allocation, Kepler Portfolio

Einstein Portfolio Update: 11 February 2025

February 11, 2025 By Lowell Herr

Einstein is the portfolio up for review this morning.  As mentioned in a prior blog post the owner of the Einstein needed educational funds at the wrong time based on market action.  Selling shares in a down market is not conducive to producing good results.  As a result, this portfolio is an under-performer whereas the […]

Filed Under: Einstein Portfolio, Asset Allocation, Passive vs. Active, Portfolio Management Tagged With: Asset Allocation, Einstein Portfolio

Rutherford-Darwin Portfolio Review: 7 February 2025

February 9, 2025 By hedgehunter

Another rather volatile week in US equity markets with no clear indication of a short-term trend: ….. although we remain in the longer term uptrend channel that started last May. We have now been churning sideways for the past 3 months. US equities remained relatively unchanged over the past week although SPY (the S&P 500 […]

Filed Under: Rutherford Portfolio, Darwin Portfolio, Options, Portfolio Management, Portfolio Performance Tagged With: Darwin Portfolio, Options, Portfolio Management, Portfolio Performance, Rutherford Portfolio

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Recent Posts

  • Bethe Portfolio Review: 25 September 2026 September 25, 2026
  • McClintock Sector BPI Portfolio Update: 24 September 2026 September 24, 2026
  • Darwin Portfolio Review: 22 September, 2026 September 22, 2026
  • Huygens Portfolio Review: 22 September 2026 September 22, 2026
  • Creating a Recession Proof Portfolio September 20, 2026
  • Millikan Asset Allocation Portfolio Update: 16 September 2026 September 17, 2026
  • Gauss Asset Allocation Portfolio: 15 September 2026 September 15, 2026

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  • Lowell Herr on McClintock Sector BPI Portfolio Update: 24 September 2026
  • Stellaluna on Carson Sector BPI Portfolio Review: 8 September 2026
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  • Lowell Herr on Carson Sector BPI Portfolio Review: 8 September 2026
  • Lowell Herr on Carson Sector BPI Portfolio Review: 8 September 2026
  • Robert Warasila on Carson Sector BPI Portfolio Review: 8 September 2026
  • Lowell Herr on Carson Sector BPI Portfolio Review: 8 September 2026
  • Robert Warasila on Carson Sector BPI Portfolio Review: 8 September 2026
  • Lowell Herr on Huygens Portfolio Review: 28 August 2026
  • John Distasio on Bohr Portfolio Update: 28 August 2026

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  • Buffett Indicator & Shiller PE Ratio
  • McClintock Sector BPI Portfolio Update: 2 July 2026
  • Bohr Portfolio Review: 7 July 2026
  • Pauling Portfolio Review: 7 August 2026
  • Bethe Portfolio Redesigned: 9 July 2026
  • Schrodinger Portfolio Update: 8 July 2026
  • Millikan Portfolio Review: 20 August 2026
  • Carson Sector BPI Portfolio Update: 12 August 2026
  • Financial Repression Portfolio Update From ChatGPT
  • Portfolio Diversification: 6 June 2026

General Investment News

Portfolios coming up for review.  Franklin, Einstein, Bohr, and Schrodinger are the critical portfolios next up for review.  Non-scheduled portfolios may be reviewed.  If you are a new user, check the posts you missed. Links to Random Posts are found in the lower right-hand footer or just to the right of what you are now reading.  Most popular posts are found in the lower left-hand footer.

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Random Posts

  • Rutherford Portfolio Review (Tranche 4): 5 January 2024
  • Einstein Portfolio Review: 3 September 2026
  • Bethe Portfolio Update – A Three Tier Model: 14 April 2023
  • Millikan Portfolio Review: 22 February 2023
  • Darwin Portfolio Review: 12 December 2025
  • Rutherford-Darwin Portfolio Review: 21 February 2025
  • Kepler Portfolio Review: 10 July 2023
  • Dirac 2026 Portfolio Review: 10 April 2026
  • Huygens Portfolio Review: 23 October 2023
  • Schrodinger Portfolio Update: 1 November 2023
  • Gauss Portfolio Review: 4 March 2025

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