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You are here: Home / Archives for 2025

Archives for 2025

Gauss Portfolio Review: 18 March 2025

March 18, 2025 By Lowell Herr Leave a Comment

Gauss is another simplified asset allocation portfolio.  The goal is to concentrate on three asset classes with a fourth (SHV) used to house cash.  The portfolio is very cost effective as the expense ratios are very low. A broad market ETF where VOO fits the bill.  Expense ratio is 3 basis points. A growth ETF […]

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

Moving Average Convergence/Divergence Indicator (MACD)

March 16, 2025 By Lowell Herr 6 Comments

Back in the 1970s I learned of Gerald Appel and his Moving Average Convergence Divergence (MACD) technical indicator.  Appel published and sold a pamphlet explaining the MACD model and how to calculate it on a Texas Instrument calculator.  This was a time just before personal computers became available so we relied on calculators for “complex” […]

Filed Under: Technical Indicators

Rutherford-Darwin Portfolio Review: 14 March 2025

March 16, 2025 By hedgehunter Leave a Comment

This week saw an official “correction” in the trend of US Equities with a 10% pullback from the mid-February highs. This pullback also coincided with a test of resistance at the 61.8% Fibonacci retracement level at 5520:

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

Bethe Asset Allocation Portfolio Simplified: 14 March 2025

March 14, 2025 By Lowell Herr Leave a Comment

Bethe is undergoing a further simplification.  This time narrowing the number of assets to five Exchange Traded Funds (ETFs) and most likely down to four as VTI will eventually be sold out of the portfolio.

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

Huygens Asset Allocation Portfolio Review: 13 March 2025

March 13, 2025 By Lowell Herr Leave a Comment

“The most important key to successful investing can be summed up in just two words-asset allocation.” – Michael Leboeuf     Huygens is the portfolio on tap for an update this morning.  This is one of the first portfolios to finally reach the target percentages.  Shares of BND and SHV were added this morning so […]

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

Pauling Asset Allocation Portfolio Review: 12 March 2025

March 12, 2025 By Lowell Herr Leave a Comment

Pauling is an Asset Allocation style portfolio converging on one year of operating under this investing model.  Over the past 3.25 years the results have been disappointing.  As the portfolio reaches the point where all asset classes are in balance, we will then begin to evaluate returns and risks.

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

Rebalancing Asset Allocation Portfolios: 12 March 2025

March 12, 2025 By Lowell Herr Leave a Comment

If you are managing an Asset Allocation (AA) portfolio this blog is for you as I am going through the rebalancing process when managing an AA portfolio.  If you are not completely sure what an AA portfolio looks like follow portfolios such as the Gauss, Millikan, Einstein, Bethe, Bohr, etc.  In this blog post I […]

Filed Under: Asset Allocation, Millikan Portfolio, Portfolio Construction, Portfolio Management Tagged With: Asset Allocation

Einstein Asset Allocation Portfolio Update: 11 March 2025

March 11, 2025 By Lowell Herr Leave a Comment

Einstein is one of the lower performing portfolios, one of the reasons for moving the management style over to the Asset Allocation model.  We are coming up on one year of this management model change.  The improvement is gradual, but visible as readers will see from the following update.

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

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  • Lee Cash on Copernicus Portfolio Update: 23 June 2026
  • Lowell Herr on McClintock Sector BPI Portfolio Update: 5 June 2026
  • Lowell Herr on Portfolio Diversification: 6 June 2026
  • William Tynes on Portfolio Diversification: 6 June 2026
  • Lowell Herr on Portfolio Diversification: 6 June 2026
  • William Tynes on Portfolio Diversification: 6 June 2026
  • Lee Cash on Huygens Portfolio Review: 3 June 2026
  • Stellaluna on Kepler Portfolio Review: 27 May 2006
  • Lowell Herr on Kepler Portfolio Review: 27 May 2006
  • Lowell Herr on Kepler Portfolio Review: 27 May 2006

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  • Schrodinger Portfolio Update: 17 April 2026
  • McClintock Sector BPI Portfolio Review: 13 March 2026
  • Gauss Portfolio Review: 29 April 2026
  • McClintock Sector BPI Portfolio Review: 5 May 2026

General Investment News

Portfolios coming up for review.  Pauling, Einstein, and Carson 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

  • Gauss Sector BPI Portfolio Review: 8 May 2023
  • Pauling Portfolio Review: 21 February 2023
  • Bullish Percent Indicators: 22 September 2023
  • Carson Sector BPI Portfolio Update: 27 March 2023
  • Bullish Percent Indicators: 25 August 2023
  • Copernicus Portfolio Update: 12 February 2026
  • Schrodinger Portfolio Update: 2 January 2026
  • McClintock Sector BPI Portfolio Review: 11 October 2024
  • Bohr Asset Allocation Portfolio Update: 10 April 2026
  • Darwin Portfolio Review: 14 November 2025
  • Einstein Portfolio Review: 29 January 2024

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