ITA Wealth Management

  • Home
  • Blog
    • How To Use ITA Blog
    • Golden Rule of Investing
    • Basic Investing Principles
  • Guest Registration
  • Forum
  • Reset Password
  • About Me
    • Archive
    • Contact
You are here: Home / Archives for Lowell Herr

Gauss Sector BPI Portfolio Review: 7 August 2024

August 7, 2024 By Lowell Herr

Gauss is one of five Sector BPI portfolios tracked here on the ITA blog.  Launched in December of 2022 we are closing in on two years of data.  The initial results look promising, but we still need more oversold and overbought cycles to give this model a real test.  The most recent draw-down moved three […]

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

McClintock Sector BPI Portfolio Review: 6 August 2024

August 6, 2024 By Lowell Herr

If you follow the Comments you were notified that Discretionary, Energy, and Technology dipped into the oversold zone.  As a result, I picked up ETFs of VCR, VDE, and VGT yesterday for the McClintock portfolio.  How well did the McClintock negotiate the recent draw-down?  Are we headed into a recession and what is the FED […]

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

Einstein Asset Allocation Portfolio Review: 5 August 2024

August 5, 2024 By Lowell Herr

Before moving into the Einstein update, users of the Sector BPI investing model need to be aware that Discretionary, Energy, and Technology dropped into the oversold zone.  I purchased shares of VCR, VDE, and VGT for several portfolios this morning. And now for the Einstein update.  As mentioned in several blogs back, the owner of […]

Filed Under: Einstein Portfolio, Asset Allocation, Portfolio Management Tagged With: Asset Allocation, Einstein Portfolio

Returning To Investing Roots: 5 August 2024

August 4, 2024 By Lowell Herr

This ITA Wealth Management blog has been chugging along for approximately 16.5 years.  Over the last few months I’ve moved several portfolios back to what I call my investing roots or what is known as the Asset Allocation model.  While I loosely used this model for years going back into the 1960s through the 1990s, […]

Filed Under: Portfolio Management, Beginning Investors, Critical Material, Miscellaneous Tagged With: Critical Material, Portfolio Management

Copernicus Portfolio Review: 2 August 2024

August 2, 2024 By Lowell Herr

Despite the significant selloff of equities, the Copernicus continues to smash the SPY benchmark.  Lack of an interest rate cut, unrest in the Middle East, higher unemployment, lower than anticipated jobs report all likely contributed to today’s market drop.  Regardless of the reasons, stick with the numbers as they eventually tell the story. As readers […]

Filed Under: Copernicus Portfolio, Asset Allocation, Portfolio Management Tagged With: Copernicus Portfolio

Carson Sector BPI Portfolio Review: 1 August 2024

August 1, 2024 By Lowell Herr

Carson is the Sector BPI portfolio up for review this morning as we enter the “Dog Days” of summer.  Carson is the oldest Sector BPI portfolio and the top performer.  Only the Copernicus is a better performer when it comes to return on investments.

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

Millikan Sector BPI Portfolio Review: 31 July 2024

July 31, 2024 By Lowell Herr

We end July 2024 with an update of the Millikan portfolio.  This Sector BPI account is performing quite well when compared to the SPY benchmark.  Little has changed within the sectors as there are no new buy recommendations and Consumer Staples is not overbought.  I did not include the Manual Risk Adjustment worksheet in this […]

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

Bethe Asset Allocation Portfolio Review: 30 July 2024

July 30, 2024 By Lowell Herr

Bethe is one of the more recent portfolios I am moving over to the Asset Allocation investing model.  Should the portfolio be returned to the owner for management, they would be able to handle the AA model easily whereas the Sector BPI model requires a bit more work. One other significant change is the move […]

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

  • « Previous Page
  • 1
  • …
  • 50
  • 51
  • 52
  • 53
  • 54
  • …
  • 143
  • Next Page »

Meta Data

  • Log in
  • Entries feed
  • Comments feed
  • WordPress.org

Search

Recent Posts

  • Einstein Portfolio Update: 10 August 2026 August 10, 2026
  • Darwin 2026 Portfolio Review: 7 August 2026 August 10, 2026
  • Pauling Portfolio Review: 7 August 2026 August 7, 2026
  • Franklin Portfolio Update: 6 August 2026 August 6, 2026
  • Bethe Portfolio Update: 5 August 2026 August 5, 2026
  • Schrodinger Portfolio Update: 4 August 2026 August 4, 2026
  • Dirac 2026 Portfolio Review: 31 July 2026 August 3, 2026

Recent Comments

  • Lowell Herr on Einstein Portfolio Update: 14 July 2026
  • Lee Cash on Einstein Portfolio Update: 14 July 2026
  • 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

Popular Posts

  • Buffett Indicator & Shiller PE Ratio
  • Financial Repression: Part 1
  • Portfolio Diversification: 6 June 2026
  • McClintock Sector BPI Portfolio Update: 2 July 2026
  • Schrodinger Portfolio Update: 8 July 2026
  • Bethe Portfolio Redesigned: 9 July 2026
  • Carson Sector BPI Portfolio Review: 22 May 2026
  • Bohr Portfolio Review: 7 July 2026
  • Financial Repression Portfolio from ChatGPT
  • Schrodinger Portfolio Review: 15 May 2026

General Investment News

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

Check the Forum for more detailed information.  If you wish to begin a financial discussion, use the Forum.

This blog is free to all who signup as a Guest.

Random Posts

  • Carson Portfolio Review: 1 February 2023
  • Carson Sector BPI Portfolio Review: 14 February 2025
  • Pauling Asset Allocation Portfolio Review: 25 October 2024
  • Bohr Portfolio Review: 22 September 2022
  • Pauling Asset Allocation Portfolio Review: 2 July 2024
  • Darwin 2026 Portfolio Review: 24 April 2026
  • Kepler Portfolio Review: 10 July 2023
  • Franklin Sector BPI Portfolio Review: 10 August 2023
  • Millikan Sector BPI Plus Portfolio Review: 8 September 2023
  • Pauling Asset Allocation Portfolio: 4 February 2026
  • Bullish Percent Indicators: 20 October 2023

Log in | Website Design by BOING

Loading Comments...

You must be logged in to post a comment.