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Millikan Portfolio Review: 4 December 2025

December 4, 2025 By Lowell Herr Leave a Comment

  Millikan is a “classic” asset allocation portfolio in that it is made up of all cap size U.S. Equities, developed and emerging international markets, domestic and international bonds, real estate, crypto currency, gold, and treasuries. Millikan Asset Allocation Model Below is the current make up of the Millikan portfolio.  The bulk of the portfolio […]

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

Gauss Portfolio Review: 2 December 2025

December 2, 2025 By Lowell Herr Leave a Comment

  December begins with a review of the Gauss portfolio.  As the U.S. Equities market moves higher the probability of a reversion to the mean increases.  For that reason readers will see a number of ITA portfolio holding bonds and treasuries, although there is likely no place to hide other than to short the market.

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

Darwin Portfolio Review: 28 November 2025

November 30, 2025 By hedgehunter Leave a Comment

As November comes to a close, US Equities closed on a positive note despise low volume on a trade-shortened week ahead of the Thanksgiving holiday: Based on the previous bullish channel that I had constructed many weeks/months ago we have bounced back into that channel and, at this point I would reconstruct my bullish channel […]

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

Huygens Recession Portfolio Review: 28 November 2025

November 28, 2025 By Lowell Herr Leave a Comment

Huygens is sporting a revised asset allocation model.  While it is unlikely one can set up a recession proof portfolio, the following group of Exchanged Traded Funds is my effort to do so.  While the Huygens will still have exposure to equity companies, the bulk of the portfolio is set up to generate income and […]

Filed Under: Huygens Portfolio, Asset Allocation, Portfolio Management Tagged With: Huygens Portfolio, Recession

Schrodinger Robo Advisor Portfolio Review: 26 November 2025

November 26, 2025 By Lowell Herr Leave a Comment

Schrodinger is a Robo Advisor portfolio or what Schwab refers to as an “intelligent portfolio.”  This portfolio is computer managed so the owner is hands off other than to continue to save and add to the portfolio.  Schrodinger is truly a passive portfolio. Schrodinger Asset Allocation Model The current stock/bond-cash ratio is a rather aggressive […]

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

Franklin Sector BPI Portfolio Update: 24 November 2025

November 24, 2025 By Lowell Herr Leave a Comment

Franklin is one of three portfolios using the Sector BPI investing model.  This model was developed here at ITA.  After patiently waiting many months for one or more sectors to drop into the oversold zone, we have recently had quite a bit of action due to recent market volatility.  The Franklin currently holds ETFs in […]

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

Darwin Portfolio Review: 21 November 2025

November 23, 2025 By hedgehunter Leave a Comment

This week saw a pullback in US equities as the SPX (S&P 500 Index) closed ~2% lower than last week’s close:

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

Bullish Percent Indicators: 21 November 2025

November 22, 2025 By Lowell Herr 2 Comments

It has been months since I last published Bullish Percent Indicator (BPI) data as little changed until the last several weeks.  This past week we had sufficient volatility to where several sectors dropped into the oversold zone and we purchased sector ETFs to take advantage of the decline.  I expect to see more sectors move […]

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

Carson Sector BPI Portfolio Update: 21 November 2025

November 21, 2025 By Lowell Herr Leave a Comment

Managing Sector BPI portfolios requires patience as it is not unusual to wait months before we see a Buy or Sell signal.  In the last two to three months we have had sector action as a number of sectors dipped into the oversold zone.  In other words, several sectors moved below the 30% bullish line […]

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

Bethe Portfolio Review: 20 November 2025

November 20, 2025 By Lowell Herr Leave a Comment

Bethe is a simple equity oriented portfolio.  The asset allocation is currently skewed toward “cash” in the form of short-term treasuries (SHV) as the probability of a major market correction over the next 12 to 18 months is extremely high. The ITA blog is free to all users.  Sign up as a Guest and wait […]

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

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  • Einstein Portfolio Update: 14 July 2026
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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 Asset Allocation Portfolio Review: 5 February 2025
  • Carson Update – Preempting Potential Weakness: 14 April 2023
  • Bullish Percent Indicators: 24 March 2023
  • McClintock Sector BPI Portfolio Review: 29 April 2025
  • Darwin Portfolio Review: 19 December 2025
  • Pauling Portfolio Update: 12 January 2026
  • Darwin Portfolio Review: 7 July 2023
  • Kahneman-Tversky Portfolio Review: 4 August, 2023
  • Portfolio Performance Update: 9 May 2024
  • Darwin Portfolio Review: 6 January 2023
  • Tweaking Sector BPI Plus Model: 20 May 2023

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