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You are here: Home / Archives for Lowell Herr

Pauling II Asset Allocation Portfolio Launch: 1 April 2024

April 1, 2024 By Lowell Herr

“A major part of any investment plan is portfolio asset allocation.” – Richard A. Ferri Welcome to the Pauling II Asset Allocation portfolio.  Expanding on the Tentative Asset Allocation model, the Pauling II will use fifteen (15) asset classes, recognizing there will be some overlap between VTI, VOO, VO, VB, and QQQ.  Expanding from 10 […]

Filed Under: Asset Allocation, Critical Material, ITA Portfolios, Passive vs. Active, Pauling Portfolio, Portfolio Construction Tagged With: Asset Allocation, Pauling Portfolio

Tentative Asset Allocation Model

March 30, 2024 By Lowell Herr

Asset Allocation is a popular investing model when it comes to constructing a portfolio.  What asset classes to include and what percentage of each asset is open for debate and discussion.  In the follow example, titled ITA-AA, I’ve selected ten asset classes that come from two sources, Mebane Faber and David Swensen.  As readers can […]

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

Bullish Percent Indicators: 29 March 2024

March 30, 2024 By Lowell Herr

Just as one sunny day does not constitute a summer, nor does one strong market day speak well for an entire week.  Not all indexes and sectors of the market moved up this week as one might have anticipated.  Two of the seven indexes reverted to the bearish side of the equation as did two […]

Filed Under: Bullish Percent Indicators, ITA Portfolios, Sector BPI, Technical Indicators Tagged With: Bullish Percent Indicators, Sector BPI

Copernicus Portfolio Review: 29 March 2024

March 29, 2024 By Lowell Herr

Passive investing is the name of the game with the Copernicus portfolio.  The philosophy of the Copernicus is to purchase U.S. Equity ETFs when cash is available and to never sell unless there is an emergency.  One major advantage to a no-sell model is that it has definite tax benefits. Copernicus Security Holdings Below is […]

Filed Under: Copernicus Portfolio, Passive vs. Active, Portfolio Construction, Portfolio Management, Portfolio Performance Tagged With: Copernicus Portfolio, Passive Investing.

Kepler Sector BPI Portfolio Review: 26 March 2024

March 26, 2024 By Lowell Herr

Kepler is another Sector BPI portfolio once managed using a Relative Momentum model.  When the performance lagged I finally made the switch to the Sector BPI model.  To see how this move is working out be sure to check on the very last screenshot of this blog post. If you signed up as a Guest, […]

Filed Under: Kepler Portfolio, Portfolio Management, Portfolio Performance, Risk Management, Sector BPI Tagged With: Kepler Portfolio, Sector BPI

Millikan Sector BPI Portfolio: 25 March 2024

March 25, 2024 By Lowell Herr

Millikan is the Sector BPI portfolio up for review this morning.  Earlier I checked the sector BPI percentages to see if either Staples or Utilities moving into either the oversold or overbought zone.  No moves requiring any decisions showed up this morning. Of the three basic investing models I’m using with the ITA portfolios, the […]

Filed Under: Millikan Portfolio, ITA Portfolios, Portfolio Construction, Portfolio Management, Risk Management, Sector BPI Tagged With: Millikan Portfolio, Portfolio Management, Sector BPI

Bullish Percent Indicators: 22 March 2024

March 23, 2024 By Lowell Herr

Point and Figure charts are unique to Technical Analysis. Bullish Percent Indicator (BPI) data for this week informs us this was a good week for U.S. Equities.  Not every indicator moved up, but the vast majority showed an increase in the percentage of bullish stocks.  The data found in the following tables comes from StockCharts […]

Filed Under: Bullish Percent Indicators, Technical Indicators Tagged With: Bullish Percent Indicators

Gauss Sector BPI Portfolio Review: 22 March 2024

March 22, 2024 By Lowell Herr

“Knowing your tolerance for risk is critical to investment success.” – Richard A. Ferri Gauss is the Sector BPI portfolio up for review this morning.  Readers who have been following this investment model are reminded we are currently in a “quiet” period when there is little buy or sell action.  Most of the Sector BPI […]

Filed Under: Gauss Portfolio, Portfolio Construction, Portfolio Management, Risk Management, Sector BPI Tagged With: Gauss Portfolio, Sector BPI

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