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No. of Recommendations: 3
1-MAA: Long-Term(BRKB,FFNOX)
Criteria: HOLDIF: (Held < 31d), SELLIF: ( RS(3,6,12)_Rank > 4 ),BUYIF: ( RS(3,6,12)_Rank <=2 ), HTD
        1-MAA: RS(3,6,12)          1-MAA       BM       12m     9m      6m      3m   RS(3,6,12)  RS(avg)   PPO(s)    PPO(5)    PPO(f)    Criteria
1-MAA: Long-Term(BRKB,FFNOX) Symbol Index RRS252 RRS189 RRS126 RRS63 %Rank1 %Rank2 (50,125) (25,125) (12,125) Status:
Fidelity U.S. Bond Index Fund
FXNAX BB:AB -16% -16% -13% -5% 80% 79% -4.1% -4.6% -5.7% BUY
Berkshire Hathaway Inc BRKB DFS 16% 11% -8% -27% 67% 92% -3.7% -8.3% -13.9% BUY
Fidelity 500 Index Fund FXAIX SP500 -10% -17% -19% -18% 60% 68% -6.1% -8.3% -11.7% HTD
Fidelity International Index Fund FSPSX MSCI:EAFE -22% -23% -20% -13% 53% 43% -5.9% -7.1% -10.9% HTD
Fidelity Multi-Asset Index Fund FFNOX GL:MAA -27% -31% -25% -17% 33% 26% -8.0% -9.6% -12.5% Sell
Fidelity Extnd US Mkt Index Fund FSMAX DJ:CTSM -37% -40% -27% -23% 7% 8% -8.8% -11.4% -15.2% Sell

*MF Redemption FeeIF (Held < 61d)
*Wash SaleIF (Sold & Bot < 31d) StDev = 18% 17% 7% 8% 2.0% 2.3% 3.3% SubTotal =


2-MAA: Multi-Asset ETF's
Criteria: HOLDIF: ( Held < 31d ), SELLIF: ( RS(3,6,12)_Rank > 4 ), BUYIF: ( RS(3,6,12)_Rank <=2 ), HTD
           2-MAA: RS(3,6,12)             2-MAA    Asset     12m     9m      6m      3m   RS(3,6,12)  RS(avg)   PPO(s)    PPO(5)    PPO(f)    Criteria
2-MAA: Multi-Asset ETF's Symbol Geo:Cla RRS252 RRS189 RRS126 RRS63 %Rank1 %Rank2 (50,125) (25,125) (12,125) Status:
iShares Commodity Dynamic Roll Strategy COMT
GL:CDR 26% 26% 35% 0% 100% 90% 8.7% 11.0% 7.8% Buy
SPDR SSGA Multi-Asset Real Return RLY
GL:RR 6% 4% 10% -8% 80% 77% 1.9% 1.3% -3.5% Hold
iShares Core Moderate Allocation AOM
GL:Mod -15% -17% -15% -9% 47% 50% -4.8% -5.8% -7.5% HTD
iShares Core Conservative Allocation AOK
GL:Con -16% -17% -15% -8% 40% 51% -4.6% -5.5% -7.0% HTD
iShares Core Growth Allocation AOR
GL:Gro -15% -18% -17% -11% 27% 44% -5.3% -6.5% -8.6% Sell
iShares Core Aggressive Allocation AOA
GL:Agr -15% -19% -18% -13% 7% 22% -5.8% -7.1% -9.7% Sell


*Wash SaleIF (Sold & Bot < 31d) StDev = 17% 18% 21% 5% 5.8% 7.1% 6.5% SubTotal =

3-QAA: Market Assets
Criteria: HOLDIF: ( Held < 31d ), SELLIF: ( RS(3,4,5,6)_Rank > 3 ), BUYIF: ( RS(3,4,5,6)_Rank <= 2 ) , HTD
          3-QAA: RS(3,4,5,6)           3-QAA    Asset     6m      5m      4m     3m   RS(3,4,5,6)  RS(avg)   PPO(s)    PPO(5)    PPO(f)    Criteria
3-QAA: Market Assets Symbol Geo:Cla RRS126 RRS105 RRS84 RRS63 %Rank1 %Rank2 (50,125) (25,125) (12,125) Status:
Invesco Opti YLD DVSFD Commodity PDBC
GL:OYDC 34% 24% 12% 7% 100% 94% 9.2% 11.3% 7.9% Buy
Invesco FTSE US RAFI 1000 PRF
US:RAFI -12% -12% -13% -14% 75% 70% -4.2% -6.0% -9.8% Buy
iShares Core MSCI EAFE IEFA
EAFE:MC -22% -19% -15% -16% 45% 46% -6.7% -8.6% -12.5% HTD
Fidelity MSCI Real Estate FREL
US:REIT -17% -16% -20% -24% 40% 41% -5.7% -9.1% -12.1% Sell
First Trust Nasdaq 100 Equal-Weighted QQEW
GL:QEW -25% -21% -20% -20% 20% 20% -8.2% -9.7% -12.3% Sell
iShares BB&B 20+ Year US Treasury TLT
US:LTT -30% -26% -21% -12% 20% 16% -9.3% -10.9% -11.7% Sell


*Wash SaleIF (Sold & Bot < 31d) StDev = 23% 18% 12% 11% 6.8% 8.4% 8.1% SubTotal =

4-QAA: Enhanced Assets
Criteria: HOLDIF: ( Held < 31d ), SELLIF: ( RS(3,4,5,6)_Rank > 4 ), BUYIF: ( RS(3,4,5,6)_Rank <= 3 ), HTD
          4-QAA: RS(3,4,5,6)            4-QAA    Asset     6m      5m      4m     3m   RS(3,4,5,6)  RS(avg)   PPO(s)    PPO(5)    PPO(f)    Criteria
4-QAA: Enhanced Assets Symbol Geo:Cla RRS126 RRS105 RRS84 RRS63 %Rank1 %Rank2 (50,125) (25,125) (12,125) Status:
iShares BB Roll Select Broad Commodity CMDY
GL:BCs 25% 15% 3% -2% 100% 96% 6.2% 6.0% 1.5% Buy
iShares MSCI Min-Vol USA USMV
US:MV -10% -8% -11% -13% 86% 81% -3.5% -4.9% -6.7% Buy
iShares MSCI USA Value Factor VLUE
US:VF -18% -15% -14% -14% 57% 58% -5.2% -7.4% -11.6% Buy
iShares MSCI USA Multi-Factor LRGF
US:MF -16% -15% -16% -17% 57% 48% -5.3% -7.4% -10.6% Buy
iShares MSCI Min-Vol EAFE EFAV
EAFE:MV -17% -16% -14% -15% 50% 55% -5.5% -7.7% -10.2% Sell
iShares MSCI USA Size Factor SIZE
US:SF -17% -16% -17% -18% 36% 40% -5.7% -7.8% -11.4% Sell
iShares MSCI USA Qualty Factor QUAL
US:QF -20% -17% -18% -19% 14% 17% -6.4% -8.5% -12.0% Sell
iShares MSCI USA Momentum Factor MTUM
US:MoF -25% -22% -22% -21% 0% 3% -8.5% -10.1% -13.0% Sell
*Wash SaleIF (Sold & Bot < 31d) StDev = 16% 11% 7% 6% 4.4% 5.1% 4.7% SubTotal =

5-QAA: U.S. Market Assets
Criteria: HOLDIF: ( Held < 31d ), SELLIF: ( RS(3,6,12)_Rank > 4 ) , BUYIF: ( RS(3,6,12)_Rank <= 2 ), HTD
          5-QAA: RS(3,6,12)             5-QAA     BM       12m     9m      6m      3m   RS(3,6,12)  RS(avg)   PPO(s)    PPO(5)    PPO(f)    Criteria
5-QAA: U.S. Market Assets Symbol Index RRS252 RRS189 RRS126 RRS63 %Rank1 %Rank2 (50,125) (25,125) (12,125) Status:
Invesco S&P LC 500 Equal-Weighted RSP
SP500EW -7% -12% -15% -17% 73% 76% -5.0% -7.1% -10.9% Buy
Invesco Russell 1000 Equal-Weighted EQAL
R1000EW -9% -13% -13% -17% 67% 75% -4.6% -6.4% -10.6% Buy
Invesco S&P MC 400 Equal-Weighted EWMC
SP400EW -11% -17% -16% -15% 67% 62% -5.3% -6.9% -10.9% Buy
Invesco S&P Real Estate Equal-Weighted EWRE
SPREEW -4% -11% -17% -26% 47% 63% -5.7% -9.8% -13.0% HTD
Invesco S&P SC 600 Equal-Weighted EWSC
SP600EW -14% -20% -18% -15% 40% 31% -6.2% -7.6% -11.5% Sell
Direxion Nasdaq 100 Equal-Weighted QQQE
N100-EW -31% -34% -25% -20% 7% 7% -8.1% -9.6% -12.3% Sell


*Wash SaleIF (Sold & Bot < 31d) StDev = 10% 9% 4% 4% 1.3% 1.4% 0.9% SubTotal =

6-WWL: Select (25 of 100)
Criteria: HOLDIF: ( Held < 31d ), SELLIF: ( RS(2,4,6)_Rank > 15 or 25-DMA < 125-DMA ) , BUYIF: ( RS(2,4,6)_Rank <= 12 ), HTD
        6-WWL: RS(2,4,6),DMAC(5)          6-WWL     Asset     12m     6m      4m     2m   RS(2,4,6)  RS(avg)   PPO(s)   DMAC(5)    PPO(f)    Criteria
6-WWL: Select (25 of 100) Symbol Geo:Cla RRS252 RRS126 RRS84 RRS42 %Rank1 %Rank2 (50,125) (25,125) (12,125) Status:
Proshares Short QQQ PSQ
US:Q-1x 16% 23% 20% 7% 96% 89% 8.1% 10.0% 12.9% Buy
iShares U.S. Oil & Gas Expl. & Prod. IEO
US:OGEP 67% 33% 12% -7% 94% 92% 8.9% 11.6% 0.2% Buy
Energy Select Sector SPDR XLE
US:Es 63% 30% 8% -8% 81% 92% 7.8% 9.3% -0.5% Buy
Invesco SP500 Eq-Wt Consumer Staples RHS
US:CSEW 9% -1% -2% -7% 78% 70% -0.1% -2.3% -3.3% Sell
First Trust Morningstar Dividend Leaders FDL
US:DL 15% 3% -2% -7% 76% 72% 0.7% -0.3% -4.1% Sell
Invesco SP500 Eq-Wt Utilities RYU
US:UEW 12% 7% -3% -8% 72% 72% 1.5% 0.0% -4.1% Buy
Invesco SP500 Eq-Wt Energy RYE
US:EEW 68% 31% 8% -11% 71% 92% 8.1% 9.5% -1.6% Buy
iShares NA Natural Resources IGE
NA:NR 45% 20% -1% -9% 71% 87% 4.4% 4.8% -3.8% Buy
iShares U.S. Consumer Staples IYK
US:CS 12% -2% -3% -8% 67% 70% -0.3% -2.6% -4.2% Sell
Health Care Select Sector SPDR XLV
US:HCs -1% -5% -8% -4% 65% 58% -2.1% -3.3% -4.6% Sell
First Trust Nasdaq Food & Beverage FTXG
US:NFB 10% 0% -4% -9% 61% 68% -0.1% -2.8% -4.6% Sell
Invesco SP500 GARP SPGP
US:GARP -8% -14% -14% -8% 46% 28% -4.7% -6.4% -9.1% Sell
iShares U.S. Infrastructure IFRA
US:Infra 4% -4% -12% -10% 43% 54% -2.1% -3.7% -8.9% Sell
Invesco SP500 Eq-Wt Materials RTM
US:MEW 7% -4% -11% -16% 37% 53% -1.6% -4.3% -10.4% Sell
Invesco SP500 Revenue-Weighted RWL
US:RW 2% -11% -13% -10% 37% 47% -3.8% -5.8% -9.2% Sell
Invesco SP500 Pure Value RPV
US:PV 9% -6% -10% -11% 36% 58% -2.2% -4.1% -8.7% Sell
Invesco R1000 Dynamic Multi-Factor OMFL
US:MF -8% -13% -12% -10% 36% 29% -3.9% -5.9% -10.2% Sell
iShares U.S. Dividend and Buyback DIVB
US:D&B -4% -15% -14% -9% 33% 33% -4.8% -6.6% -9.9% Sell
SPDR S&P Metals and Mining XME
US:M&M 30% 11% -29% -19% 26% 66% -1.4% -5.3% -13.0% Sell
Invesco SP500 Eq-Wt Financials RYF
US:FEW -7% -23% -20% -8% 25% 16% -7.6% -9.4% -12.7% Sell
Invesco SP500 Eq-Wt Tecnology RYT
US:TEW -19% -25% -18% -9% 24% 9% -7.6% -9.0% -12.9% Sell
iShares U.S. Basic Materials IYM
US:BM 6% -5% -16% -17% 24% 46% -2.4% -5.6% -12.5% Sell
Invesco SP500 Eq-Wt Industrials RGI
US:IEW -12% -16% -15% -11% 19% 20% -4.9% -7.1% -11.1% Sell
Invesco SP500 Quality SPHQ
US:QF -12% -20% -17% -10% 18% 16% -6.4% -8.4% -12.4% Sell
Invesco S&P SmallCap Value With Mo XSVM
US:SCVM -1% -15% -18% -14% 12% 26% -5.1% -7.4% -13.0% Sell
*Wash SaleIF (Sold & Bot < 31d) StDev = 24% 17% 11% 5% 4.9% 6.3% 5.9% SubTotal =
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