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Gauss Asset Allocation Portfolio Review: 17 September 2025

September 17, 2025 By Lowell Herr 5 Comments

Gauss is another asset allocation portfolio that is undergoing a rebalancing process.  This morning I sold off some shares of SHV so as to begin to rebuild the equity holdings such as VO, VB, VEA, VWO, and VNQ.  See the process below.

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

Copernicus Portfolio Update: 18 September 2025

September 18, 2025 By Lowell Herr Leave a Comment

  The Copernicus has essentially operated as a passive portfolio.  Save and invest in broad market equity ETFs has been the philosophy up to this point.  With an overvalued stock market what is the next move?  I plan to swap SCHD with VYM and continue dollar-cost-averaging into equities.  Instead of buying at market or setting […]

Filed Under: Copernicus Portfolio, ITA Portfolios, Passive vs. Active Tagged With: Copernicus Portfolio, Passive Investing.

Franklin Sector BPI Portfolio Review: 19 September 2025

September 19, 2025 By Lowell Herr Leave a Comment

Of the 13 portfolios I track here at ITA the three Sector BPI portfolios are the most complicated to manage as they require access to Bullish Percentage Indicator graphs.  I use StockCharts for this information.  Last Friday the Consumer Staples sector came so close to the 30% bullish signal that I placed orders for VDC […]

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

Rutherford-Darwin Portfolio Review: 19 September 2025

September 21, 2025 By hedgehunter Leave a Comment

It was another bullish week in the US Equity markets with the SPX (S&P 500 Index) again making new highs: We have broken through the 6450 resistance zone and are now sitting at the ~6650 level. There is still no evidence of the historical September weakness in the US equity markets as we continue to […]

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

Carson Sector BPI Portfolio Update: 22 September 2005

September 22, 2025 By Lowell Herr Leave a Comment

We begin Fall with an update of the Carson portfolio, the original Sector BPI portfolio.  When Consumer Staples dropped into the oversold zone I added more shares of VDC not realizing the Carson already held shares representing this sector.  That is why the portfolio has an abundance of this security. This morning I invested the […]

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

Einstein Portfolio Update: 23 September 2025

September 23, 2025 By Lowell Herr Leave a Comment

Einstein is the portfolio up for review this morning and it is undergoing extensive asset allocation adjustments.  The performance of this portfolio is not up to “snuff” as the owner needed cash for tuition.  Rebuilding Einstein is now underway so I expect fresh dollars to be added nearly every month.  It is much easier to […]

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

Huygens Portfolio Update: 24 September 2024

September 24, 2025 By Lowell Herr Leave a Comment

Huygens is a typical Asset Allocation portfolio that is currently in balance.  At this point all the investor needs to do is keep the various asset classes close to target when dividends provide sufficient cash to make the adjustments.  Huygens is classified as a passive portfolio as is the Schrodinger. The Huygens is roughly 75% […]

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

Schrodinger Portfolio Update: 25 September 2025

September 25, 2025 By Lowell Herr Leave a Comment

Schrodinger had an excellent August with a 3.5% return on investments.  This computer manage portfolio is performing very well as readers will see as they read through this blog.  Should we see a recession in 2026 it will be interesting to see how this Robo Advisor portfolio responds to a draw-down. Schrodinger Asset Allocations Below […]

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

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