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You are here: Home / Archives for Portfolio Management

Bethe Portfolio Review: 24 January 2023

January 24, 2023 By Lowell Herr

Bethe is the portfolio scheduled for review this morning.  Bethe is one of the Growth-Income portfolios of which there are two.  The other portfolio is the Bohr.  As readers will see in a moment, the current quiver is populated with Closed-End-Funds and there are few equity holdings other than ESGV.

Filed Under: Bethe Portfolio, Income Tagged With: Bethe Portfolio

Carson Portfolio Update: 25 January 2023

January 25, 2023 By Lowell Herr

Readers interested or testing the Sector BPI Model will want to follow the review of the Carson, the oldest of this style of investing here at ITA.  When I go through these portfolios I first check on the most recent Bullish Percent Indicator (BPI) data.  Yesterday there were three over-bought sectors or sectors that showed […]

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

Franklin Portfolio Review: 26 January 2023

January 26, 2023 By Lowell Herr

Franklin is one of the newer Sector BPI portfolios having moved from the Dual Momentum™ model over to the Sector BPI model as I was not pleased with the DM performance.

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

McClintock Portfolio Review: 27 January 2023

January 27, 2023 By Lowell Herr

McClintock, one of the two Dual Momentum™ portfolios, has been one of the better performers over the years I’ve used this investing model.  Of the seven different styles of investing, Dual Momentum is one of the easier to understand and manage, particularly if you have the Kipling spreadsheet installed and operating. In addition to the […]

Filed Under: McClintock Portfolio, Dual Momentum Tagged With: Dual Momentum, McClintock Portfolio

Copernicus Portfolio Review: 27 January 2023

January 27, 2023 By Lowell Herr

Investors looking for simplicity need look no further than the Copernicus model.  All that is required is the discipline to save and invest in U.S. Equities.  It is simple as that.  The Copernicus is definitely a model for young investors who do not have time to spend working with their investments.  Dollar cost averaging is […]

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

Rutherford Portfolio Review (Tranche 3): 27 January 2023

January 29, 2023 By hedgehunter

It was a bullish week for US equities with the SPX up over 2.6% on the week: and touching (but not closing above) the 4100 level that might indicate a reversal of the 2022 downtrend. In terms of relative strength, US equities outperformed all other major asset classes except for US Real estate: Current holdings […]

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

Bohr Portfolio Review: 30 January 2023

January 30, 2023 By Lowell Herr

The Bohr and Bethe are similar portfolios in that they both hold equities for growth and Closed-End-Funds (CEFs) for income.  In both accounts they are essentially Buy and Hold portfolios as there is very little trading taking place.

Filed Under: Bohr Portfolio, Passive vs. Active Tagged With: Bohr Portfolio

Gauss Portfolio Review: 31 January 2023

January 31, 2023 By Lowell Herr

We end the month of January with a review of the Gauss, one of four Sector BPI portfolios.  While there are currently four BPI sectors of the market positioned in the over-bought zone, the Gauss holds zero shares in any of these sectors.  Technology was sold last week.  The single remaining sector holding is VOX.

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

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