Pauling is one of several Asset Allocation portfolios launched in early April of this year (2024). In an effort to reduce taxes I avoid selling appreciated Exchange Traded Funds (ETFs). This strategy slows down the rebalancing process. Rebalancing takes place when fresh cash is deposited or dividends are declared. For Asset Allocation portfolios valued below […]
Kepler Asset Allocation Portfolio Review: 19 November 2024
When well into this update of the Kepler I realized the portfolio was reviewed only a few days ago. Since all the screenshots are uploaded I’ll proceed with the update. Little has changed other than the addition of new cash and the purchase of a few asset classes still out of balance.
McClintock Sector BPI Portfolio Review: 20 November 2024
No sectors are in the oversold zone so this McClintock review will be very short with exception to the Buy and Sell limit orders shown in the final screenshot. Since there is no action within the eleven sectors we focus on U.S. Equities. The main focus is on adding shares of VOO and VTI to […]
Huygens Asset Allocation Portfolio Review: 21 November 2024
Since the last review of the Huygens portfolio I made a few small adjustments in the asset allocation percentages. I decreased the percentages to Developed International Equities (VEA) and Emerging Markets (VWO). Those percentages were shifted to VOO, VO, and VB.
Einstein Asset Allocation Portfolio Review: 22 November 2023
Einstein is one portfolio where the investment strategy was disrupted several times over the last four to five years as there was a call for educational expenses at a time when the market was rising. As a result, performance is not what it should be. The goal is to now rebuild this portfolio over the […]
Bethe Asset Allocation Portfolio Review: 25 November 2024
Bethe is one of the portfolios recently shifted over to the Asset Allocation (AA) model as the owner is looking for long-time “stability.” Stability as best can be established for a financial account. As with the other AA portfolios, the Bethe is diversified widely across the globe using both equities and bonds. The portfolio includes […]
Franklin Sector BPI Portfolio Review: 26 November 2024
Franklin is one of five Sector BPI portfolios with a current holding of one sector ETF, VDE or Energy. This morning I checked the Bullish Percent Indicator for Energy and it is holding steady at 63.63% bullish. When Energy reaches the 70% bullish mark I will place a 3% Trailing Stop Loss Order (TSLO) under […]
Bohr Asset Allocation Portfolio Review: 27 November 2024
Bohr is another asset allocation portfolio under construction or in the process of rebuilding. In operation for nearly seven months and carrying quite a bit of cash it will require some patience before all asset classes are in balance. With a value in excess of $100,000 the goal is to bring each asset class within […]
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