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Recent Blog Entry

Huygens Portfolio Review: 31 July 2026

Huygens is the asset allocation portfolio scheduled for review this morning.  Since I first started this blog shares of GLDM and IAU were sold and the money was reinvested in short-term treasuries, SCHO.  This move will lower the portfolio beta which in turn will elevate the Jensen Alpha value. Huygens Asset Allocation Model Limit orders are in place to purchase more shares of VTI and VYM.  … [Read More...]

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To register as a Guest, click on this link and fill our the short form.  Please place ITA in front of your user name so I know you are not a Spam registrant. ITA Wealth Management is now free to all readers who register as a Guest.  After registering, wait at least 24 hours so I can elevate you from the Guest level to the Platinum level.  Many of the blog posts are available without any … [Read More]

Portfolio Management

Kahneman-Tversky Portfolio Review: 4 August, 2023

The Kahneman-Tversky Portfolio is a simple Dual Momentum Portfolio that requires few adjutments since it only has a choice of holding one of 3 assets. Here's where the portfolio is sitting at present: Checking the slower moving Kahneman portion of the portfolio that uses a single 252-day (12 month) lookback to measure momentum, the rotation graphs look like this: VEU is clearly the leader … [Read More...]

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Kepler Asset Allocation Portfolio Review: 24 October 2024

October 24, 2024 By Lowell Herr

Kepler is one of several Asset Allocation portfolios using this standard investing model.  Like the Einstein, the Kepler was used by the owner to hold assets needed for education.  Those withdrawals are over and now it is time to begin adding to the … [Read more]

Carson Sector BPI Portfolio Review: 23 October 2024

October 23, 2024 By Lowell Herr

Carson is the oldest Sector BPI portfolio with a history of two years.  During this period there were a few buy/sell cycles, but insufficient to conclude this investing model merits anything other than "experimental" money.  The idea of buying when a … [Read more]

Bohr Asset Allocation Portfolio: 22 October 2024

October 22, 2024 By Lowell Herr

The Bohr portfolio is slowly coming into balance according to the Asset Allocation plan.  This morning I sold all share of VTI as over 85% of the stocks in VTI are also in VOO.  The remaining percentage can be found in VO and VB.  These last two ETFs … [Read more]

Rutherford Portfolio Review (Tranches 4 and 1): 18 October 2024

October 19, 2024 By hedgehunter

Travelling back home after a ~6-week trip resulted in me not finding the time to review Tranche 4 of the Rutherford Portfolio last week - so I will review Tranche 4 as well as Tranche 1 this week so as to get back on schedule. Recent price movement … [Read more]

Relative Portfolio Performance Data: 18 October 2024

October 19, 2024 By Lowell Herr

Approximately every month to six weeks I post relative performance data for the fifteen (15) portfolios I track here on the ITA blog.  The Annual IRR data found in the third column from the left is accurate as of 18/18/2024.  All other data is … [Read more]

Einstein Asset Allocation Portfolio Review: 18 October 2024

October 18, 2024 By Lowell Herr

The investment model used by the Einstein takes me back to the 1960s when I was first learning about investing.  The no-profit foundation I was part of for over 30 years used these same principles of Asset Allocation (AA).  This AA investment model … [Read more]

Franklin Sector BPI Portfolio: 17 October 2024

October 17, 2024 By Lowell Herr

It has been nearly two years since the Franklin portfolio began using the Sector BPI investing model.  Over this period the portfolio managed to keep pace with the S&P 500 (SPY) index, a major goal for these Sector BPI portfolios. Since the last … [Read more]

Schrodinger Portfolio Review: 16 October 2024

October 16, 2024 By Lowell Herr

Before delving into the Schrodinger review, SCHA, SCHF and FNDA experienced stock splits of 2 for 1 while FNDX and SCHX split 3 for 1.  If you are working with the Investment Account Manager the stock split entry point is Transitions and Global … [Read more]

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Popular Posts

  • Buffett Indicator & Shiller PE Ratio
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  • Financial Repression: Another Perspective
  • Portfolio Diversification: 6 June 2026
  • McClintock Sector BPI Portfolio Update: 2 July 2026
  • McClintock Sector BPI Portfolio Review: 5 May 2026
  • Financial Repression Portfolio: Part V
  • Financial Repression: Part IV
  • Schrodinger Portfolio Update: 8 July 2026
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General Investment News

Portfolios coming up for review.  Millikan, McClintock, Huygens, Bohr, Schrodinger, Bethe, Franklin, and Pauling 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.

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Random Posts

  • Darwin 2026 Portfolio Review: 13 March 2026
  • McClintock Sector BPI Portfolio Review: 15 December 2025
  • Millikan Asset Allocation Portfolio: 6 May 2026
  • Franklin Sector BPI Portfolio Review: 27 February 2025
  • Pauling Checkup: 30 November 2023
  • Feynman Portfolio Study: Part 7
  • Bohr Asset Allocation Portfolio: 22 October 2024
  • Franklin Portfolio Update: 12 January 2023
  • Darwin Portfolio Review: 17 May, 2024
  • Feynman Portfolio Study: Part 9-1 Diversification, Correlation and Clusters
  • Schrodinger Interim Update: 19 October 2022

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