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You are here: Home / Archives for Portfolio Management

Copernicus Portfolio Review: 1 August 2025

August 2, 2025 By Lowell Herr 1 Comment

  I am pushing the Copernicus review ahead of schedule as I want to see what damage or impact Friday’s selloff had on this equity oriented portfolio.  Low unemployment numbers and the coming tariffs are roiling the U.S. Equities market.  I expect this to continue into next week.  Political uncertainty, threats to institutions, and the […]

Filed Under: Asset Allocation, Copernicus Portfolio, Passive vs. Active, Portfolio Construction, Portfolio Management, Portfolio Performance Tagged With: Copernicus Portfolio

Hawking Portfolio Review: 1 August 2025

August 3, 2025 By hedgehunter Leave a Comment

Normally there is not a lot for me to say in my reviews of the Hawking Portfolio because I like to try to keep it as a low maintainance (close to Buy-And-Hold) portfolio that generates steady monthly income at a predicable 8-12% level. This is achieved through a selection of diversified Closed-End-Funds (CEFs) or ETFs.  […]

Filed Under: Hawking Portfolio, Portfolio Management, Portfolio Performance Tagged With: Close-End-Funds, Hawking Portfolio, Portfolio Management, Portfolio Performance

McClintock Sector BPI Portfolio Review: 4 August 2025

August 4, 2025 By Lowell Herr Leave a Comment

When the market opened to the upside this morning I was more than a little surprised.  Such is the nature of the U.S. Equities market.  Never try to predict what it is going to do. The McClintock is patiently waiting for one or more sectors to drop into the oversold zone so we can purchase […]

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

Rutherford-Darwin Portfolio Review: 4 August 2025

August 4, 2025 By hedgehunter Leave a Comment

After pushing to new all-time highs earlier in the week, the SPX (S&P 500 Index) hit resistance at ~6450 and pulled back on Friday, closing the week down ~2.4% from last week’s close. The MACD and RSI Indicators are both now sending bearish signals and we may be preparing to test support at ~6150 – […]

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

Dirac Portfolio Review: 4 August 2025

August 4, 2025 By hedgehunter 4 Comments

Since my last review on 18 July I have made a few adjustments to the Dirac Portfolio especially as a result of last Friday’s weakness in the US equity markets – since this portfolio is totally focused on these markets:

Filed Under: Dirac Portfolio, Options, Portfolio Management, Portfolio Performance, Risk Management Tagged With: Dirac Portfolio, Options, Portfolio Management, Portfolio Performance, Risk Management

Pauling Portfolio Review: 6 August 2025

August 6, 2025 By Lowell Herr Leave a Comment

Pauling is another mini-asset allocation portfolios where the number of ETFs populating the portfolio are limited.  In anticipation of a slower economy when third and fourth quarter economic reports come out, I’ve concentrated on building up short-term treasuries in a number of portfolios. If managing a family portfolio, my recommendation is to diversify across the […]

Filed Under: Pauling Portfolio, Asset Allocation, Portfolio Construction Tagged With: Asset Allocation, Pauling Portfolio

Carson Sector BPI Portfolio Review: 7 August 2025

August 7, 2025 By Lowell Herr Leave a Comment

I could have skipped this review as there has not been any action since the last update.  This blog will inform readers where the Carson portfolio currently stands and how well the Sector BPI model is working. Carson Security Holdings The bulk of the Carson is positioned in a short-term treasury, SHV.  Should there be […]

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

Rutherford-Darwin Portfolio Review: 8 August 2025

August 10, 2025 By hedgehunter Leave a Comment

After last week’s sell-off, US markets bounced back this week, closing ~2.5% higher than last week’s close and looking to retest the all-time highs at ~6450 in the SPX (S&P 500 Index):

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

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