What to do with a poor performing portfolio? Advice to the owner of the Einstein is to continue to add money to the portfolio and work toward keeping the various asset class close to target. Instead of concentrating on the Internal Rate of Return, focus on the Jensen Alpha and Information Ratio. Einstein Security Holdings The asset allocation model is set up to resist a market draw-down. It … [Read More...]
Gauss Sector BPI Portfolio Review: 13 February 2024
Gauss is another portfolio last reviewed in January so I am bringing it into the February fold with this update. As readers will see in the security holding worksheet, I've added VEA and VWO as potential options. These international equities add … [Read more]
Portfolio Performance Data: 9 February 2024
Every month or six weeks I post a data table showing the relative performance values for all the portfolios I track here at ITA Wealth Management. Not included in the table are the portfolios managed by Hedgehunter. The data includes Internal Rates … [Read more]
Rutherford Portfolio Review (Tranche 1): 9 February 2024
US Equities continued their steady climb this week hitting new all-time highs at the close on Friday: Since we are at all-time highs, with no obvious indications of the next resistance level, the best I can do is look at the 100% Fibonacci extension … [Read more]
Bullish Percent Indicators: 9 February 2024
Bullish Percent Indicators are mixed this week which is not all that unusual. One sector is approaching the oversold zone and will require close watching this coming week. Both the DJIA and DJTA are bullish indicating this is still a large-cap … [Read more]
Franklin Sector BPI Portfolio Review: 9 February 2024
Franklin is the Sector BPI portfolio schedule for review today. I adjusted the Maximum Asset Allocation percentages for the three U.S. Equities in order to emphasize VOO as it is the S&P 500 option. Holding more shares of VOO will keep the … [Read more]
Bethe Portfolio Update: 8 February 2024
Bethe is the portfolio scheduled for review today and a few changes were made in the investment quiver. The Maximum Asset Allocation percentages (green arrow) were adjusted in order to emphasize or tilt the portfolio toward the S&P 500 (VOO) as … [Read more]
Carson Portfolio Review: 7 February 2024
As the oldest Sector BPI portfolio, the Carson is still a relatively young example of this "hypothetical" investing model. As such I use the Carson as a bellwether for the Sector BPI approach to portfolio management. No sectors are in the oversold … [Read more]
Millikan Sector BPI Portfolio Review: 6 February 2024
Millikan is the Sector BPI portfolio up for review this morning. Since no sectors of the U.S. Equities market are oversold we look for buying opportunities other than sector ETFs. The three ETFs of interest are: VTI, VOO, and ESGV. I've not … [Read more]
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