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You are here: Home / Archives for Portfolio Management

McClintock Sector BPI Portfolio Review: 26 September 2025

September 26, 2025 By Lowell Herr Leave a Comment

Little has changed since the recent recommendation to purchase shares in Consumer Staples.  VDC is the Exchange Traded Fund (ETF) that covers this sector of the U.S. Equities market.  I recently purchased 15 shares of VDC as Consumer Staples dropped below the 30% Bullish Percent Indicator line.  If you are a new ITA reader or […]

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

Millikan Preparation for 2026

September 27, 2025 By Lowell Herr Leave a Comment

As we approach the fourth quarter of 2025 I will be setting up portfolios for 2026.  The outlook is less promising for the coming year compared to 2025 so a more conservative approach makes sense.  The new asset allocation for the Millikan is designed to be a tad more recession proof compared to the previous […]

Filed Under: Millikan Portfolio, Asset Allocation Tagged With: Millikan

Rutherford-Darwin Portfolio Review: 26 September 2025

September 29, 2025 By hedgehunter Leave a Comment

This week saw a small ~0.25% pullback in US Equity markets (S&P 500 Index) but we are still consolidating at the ~6500 level:

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

Einstein Portfolio Review: 30 September 2025

October 1, 2025 By Lowell Herr Leave a Comment

Einstein is an Asset Allocation portfolio that is in a rebuilding phase.  As readers will recall, assets from this portfolio were required for educational purposes.  Money was withdrawn at a time when the market was moving up so positive growth opportunity was lost.  For a young investor this is an important lesson to learn. Many […]

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

Millikan Portfolio Review: 3 October 2025

October 3, 2025 By Lowell Herr Leave a Comment

Readers will find a slight modification of the Asset Allocation for the Millikan portfolio.  While there is still quite a bit of cash available, I will be putting it to use (slowly) over the next several months.  Additional explanations below. Millikan Asset Allocation Holdings I noticed some errors in the dividend column.  That will be […]

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

Rutherford-Darwin Portfolio Review: 3 October 2025

October 5, 2025 By hedgehunter 1 Comment

Another bullish week in US equities with the SPX (S&P 500 Index) hitting more new all-time highs and closing the week a little over 1% higher than last week’s close:

Filed Under: Darwin Portfolio, Portfolio Management, Portfolio Performance, Risk Management, Technical Indicators Tagged With: Darwin Portfolio, Portfolio Management, Portfolio Performance, Risk Management, Technical Indicators

Hawking Portfolio Review: 3 October, 2025

October 5, 2025 By hedgehunter 1 Comment

It has been 3 months since I last reported on the performance of the Hawking Portfolio – basically because it is essentially a “Buy-And-Hold” portfolio of Closed-End-Funds (CEFs) that pay out high monthly distributions/dividends and requires very little attention. In my last review I outlined why it is sometimes difficult to analyze these funds since […]

Filed Under: Hawking Portfolio, Income, Portfolio Management, Portfolio Performance Tagged With: Hawking Portfolio, Portfolio Management, Portfolio Performance

Gauss Asset Allocation Portfolio Review: 8 October 2025

October 8, 2025 By Lowell Herr Leave a Comment

Gauss is another Asset Allocation (AA) portfolio that is in the middle of the rebalancing process.  The goal is to have all the AA portfolios close to balanced before we enter 2026.  In all cases I am reducing exposure to U.S. Equities as this market is far overvalued.

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

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