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No. of Recommendations: 2
     Market Trends:       PO's             MAC(10m)             DBE(99d,5m)           CountIF  %Bullish    Risk      CountIF     Risk
23-Sep-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status: Bullish Gauges
SP600 (IJR) Daily | BEARish -4.9% | BEARish -14.0% | BEARish 220 | 0 0.0% Risk_Off --- ---
SP400 (MDY) Daily | BEARish -0.5% | BEARish -12.8% | BEARish 220 | 0 0.0% Risk_Off 0 thru 9 Risk_Off
SP500EW (RSP) Daily | BEARish -2.1% | BEARish -12.9% | BEARish 180 | 0 0.0% Risk_Off --- ---
SP1500 (ITOT) Daily | BEARish -2.9% | BEARish -13.7% | BEARish 181 | 0 0.0% Risk_Off 0 0
SP500 (.SPx) Daily | BEARish -4.4% | BEARish -13.3% | BEARish 181 | 0 0.0% Risk_Off --- ---
--- --- --- --- --- --- --- --- --- --- 10 thru 15 Risk_On
CountIF(Bullish) = 0 0 0 0 0.0% Risk_Off
--- ---

      Screen Ranking (RS):    1      2      3     4      5      6      7     8     9    10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXAIX FXNAX BRKB FSMAX FSPSX FFNOX -- BRKB --
2-MAA: Multi-Asset ETF's COMT RLY AOK AOM AOR AOA -- -- --
3-QAA: Multi-Market Assets QQEW PRF FREL TLT PDBC IEFA -- -- QQEW
4-QAA: Enhanced Assets LRGF USMV SIZE MTUM QUAL VLUE CMDY EFAV -- -- LRGF
5-QAA: U.S. Market Assets EWMC QQQE EUSA RSP EQAL EWSC -- -- EWMC
6-WWL: Quality Metrics CRK WGO MEDP ICPT MTDR VRTX WIRE OXY UFPI STLD NUE THO -- STLD --
6-WWL: (13 thru 24) VCTR ROCC RYI PSQ BLDR HCC LPI ABBV PDCE LPX ATKR FTNT -- EGLE --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,9,12) 1 3 1 36% 18 0 0 -9% -9% -4% 5%
2-MAA: RS(3,6,9,12) 2 4 2 176% 43 0 0 -3% -9% -4% 5%
3-QAA: RS(3,4,5,6) 2 3 1 86% 30 1 0 -13% -9% 1% 7%
4-QAA: RS(3,4,5,6) 3 4 1 82% 24 1 0 -13% -9% 1% 7%
5-QAA: RS(3,4,5,6) 2 4 0 0% 0 2 0 0% -13% -23% 2%
6-WWL: RS(3,4,5,6) 12 20 15 461% 4 4 14 0% -15% -14% 10%
My Screens ( Inc'l LTBH ) = 24 -- 22 17% -- 8 14 -- -19.7% -13.0% 5.2%
FCash ( available ) = 2 -- 2 83% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 17 107% -- -- -- -- -5.1% -4.8% 2.0%
My Portfolio Totals = 46 -- 41 46% -- -- -- -- -4.8% -4.1% 2.4%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -19.1% -15.3% 3.7%
Print the post Back To Top
No. of Recommendations: 3
     Market Trends:       PO's              MAC(10M)             DBE(99d,5m)           CountIF  %Bullish    Risk
1-Jul-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status:
SP600 (IJR) Daily | BEARish -5.4% | BEARish -13.8% | BEARish 162 | 0 0.0% Risk_Off
SP400 (MDY) Daily | BEARish -8.8% | BEARish -13.9% | BEARish 162 | 0 0.0% Risk_Off
SP500EW (RSP) Daily | BEARish -7.1% | BEARish -11.9% | BEARish 122 | 0 0.0% Risk_Off
SP1500 (ITOT) Daily | BEARish -11.2% | BEARish -14.8% | BEARish 123 | 0 0.0% Risk_Off
SP500 (.SPx) Daily | BEARish -7.4% | BEARish -13.5% | BEARish 123 | 0 0.0% Risk_Off
--- --- --- --- --- --- --- --- --- ---
CountIF(Bullish) = 0 0 0 0 0.0% Risk_Off

        Screen Ranking (RS):    1      2     3      4      5      6      7     8    9   10    11    12    Sell  HTD   Buy
1-MAA: Long-Term(BRKB,FFNOX) FXNAX BRKB FXAIX FSPSX FFNOX FSMAX -- -- --
2-MAA: Multi-Asset ETF's COMT RLY AOM AOK AOR AOA -- RLY --
3-QAA: Market Assets PDBC PRF IEFA FREL QQEW TLT -- -- --
4-QAA: Enhanced Assets CMDY USMV VLUE LRGF EFAV SIZE QUAL MTUM -- -- --
5-QAA: U.S. Market Assets RSP EQAL EWMC EWRE EWSC QQQE -- -- --
6-WWL: Top 12 of 25 PSQ IEO XLE RHS FDL RYU RYE IGE IYK XLV FTXG SPGP -- -- --
6-WWL: Bottom 13 thru 24 IFRA RTM RWL RPV OMFL DIVB XME RYF RYT IYM RGI SPHQ -- -- --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,12) 2 4 1 819% 6.3 1 0 -7% -4% 3% 5%
2-MAA: RS(3,6,12) 2 4 2 917% 30.9 3 1 19% -4% 3% 5%
3-QAA: RS(3,4,5,6) 2 3 2 452% 24.2 0 0 14% -2% 8% 8%
4-QAA: RS(3,4,5,6) 3 4 2 178% 13.5 0 0 -8% -2% 8% 8%
5-QAA: RS(3,6,12) 2 4 1 398% 9.1 0 0 -8% -16% -8% 2%
6-WWL: RS(2,4,6),DMAC(5) 12 15 1 106% 15.6 1 0 -3% -15% -8% 10%
My Screens ( Inc'l LTBH ) = 25 -- 11 20% -- 5 1 -- -15.6% -4.3% 5.8%
FCash ( available ) = 2 -- 2 80% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 15 87% -- -- -- -- -4.0% -1.7% 2.8%
My Portfolio Totals = 47 -- 28 42% -- -- -- -- -3.9% -1.6% 3.0%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -15.6% -10.3% 5.2%
Print the post Back To Top
No. of Recommendations: 3
     Market Trends:       PO's              MAC(10M)             DBE(99d,5m)           CountIF  %Bullish    Risk
8-Jul-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status:
SP600 (IJR) Daily | BEARish -3.5% | BEARish -12.5% | BEARish 167 | 0 0.0% Risk_Off
SP400 (MDY) Daily | BEARish -8.3% | BEARish -12.1% | BEARish 167 | 0 0.0% Risk_Off
SP500EW (RSP) Daily | BEARish -7.8% | BEARish -10.4% | BEARish 127 | 0 0.0% Risk_Off
SP1500 (ITOT) Daily | BEARish -11.2% | BEARish -12.3% | BEARish 128 | 0 0.0% Risk_Off
SP500 (.SPx) Daily | BEARish -7.3% | BEARish -11.1% | BEARish 128 | 0 0.0% Risk_Off
--- --- --- --- --- --- --- --- --- ---
CountIF(Bullish) = 0 0 0 0 0.0% Risk_Off

        Screen Ranking (RS):    1      2     3      4      5      6      7     8    9    10   11    12    Sell  HTD   Buy
1-MAA: Long-Term(BRKB,FFNOX) FXNAX BRKB FXAIX FSPSX FFNOX FSMAX -- -- --
2-MAA: Multi-Asset ETF's COMT AOK RLY AOM AOR AOA -- RLY --
3-QAA: Market Assets PDBC PRF IEFA TLT FREL QQEW -- -- --
4-QAA: Enhanced Assets CMDY USMV LRGF EFAV VLUE SIZE QUAL MTUM -- -- --
5-QAA: U.S. Market Assets RSP EQAL EWMC EWRE EWSC QQQE -- -- --
6-WWL: Top 12 of 25 PSQ RHS IYK IEO RYU XLV XLE FTXG RYE FDL IGE SPGP -- PSQ --
6-WWL: Bottom 13 thru 24 IFRA RWL RPV DIVB OMFL RGI RYT RTM RYF SPHQ XME XSVM -- -- --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,12) 2 4 1 838% 7 0 0 -5% -5% 3% 5%
2-MAA: RS(3,6,12) 2 4 2 292% 32 3 1 10% -5% 3% 5%
3-QAA: RS(3,4,5,6) 2 3 2 266% 25 1 0 7% -4% 8% 7%
4-QAA: RS(3,4,5,6) 3 4 2 178% 15 0 0 -8% -4% 8% 7%
5-QAA: RS(3,6,12) 2 4 1 200% 10 1 0 -8% -14% -6% 2%
6-WWL: RS(2,4,6),DMAC(5) 12 15 2 199% 9 1 1 -4% -17% -7% 8%
My Screens ( Inc'l LTBH ) = 25 -- 12 18% -- 6 2 -- -16.8% -4.1% 5.3%
FCash ( available ) = 2 -- 2 82% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 17 100% -- -- -- -- -4.0% -2.0% 2.8%
My Portfolio Totals = 47 -- 31 44% -- -- -- -- -4.1% -1.6% 2.8%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -15.1% -9.8% 5.4%
Print the post Back To Top
No. of Recommendations: 4
     Market Trends:       PO's              MAC(10M)             DBE(99d,5m)           CountIF  %Bullish    Risk
15-Jul-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status:
SP600 (IJR) Daily | BEARish -3.4% | BEARish -13.2% | BEARish 172 | 0 0.0% Risk_Off
SP400 (MDY) Daily | BEARish -6.6% | BEARish -12.9% | BEARish 172 | 0 0.0% Risk_Off
SP500EW (RSP) Daily | BEARish -9.1% | BEARish -11.4% | BEARish 132 | 0 0.0% Risk_Off
SP1500 (ITOT) Daily | BEARish -11.1% | BEARish -13.2% | BEARish 133 | 0 0.0% Risk_Off
SP500 (.SPx) Daily | BEARish -7.5% | BEARish -11.9% | BEARish 133 | 0 0.0% Risk_Off
--- --- --- --- --- --- --- --- --- ---
CountIF(Bullish) = 0 0 0 0 0.0% Risk_Off

     Screen Ranking (RS):    1      2     3      4      5      6      7     8    9    10   11    12    Sell  HTD    Buy
1-MAA: Long-Term(BRKB) FXNAX BRKB FXAIX FSPSX FFNOX FSMAX -- BRKB --
2-MAA: Multi-Asset ETF's COMT AOK RLY AOM AOR AOA -- RLY --
3-QAA: Market Assets PDBC PRF TLT QQEW FREL IEFA -- -- --
4-QAA: Enhanced Assets CMDY USMV EFAV LRGF VLUE SIZE QUAL MTUM -- -- --
5-QAA: U.S. Market Assets RSP EQAL EWMC EWRE EWSC QQQE -- -- --
6-WWL: Top 12 of 25 PSQ RHS IYK FTXG RYU XLV IEO XLE FDL RYE IGE SPGP RYE PSQ --
6-WWL: Bottom 13 thru 24 RWL DIVB IFRA RPV OMFL RGI RTM RYF RYT SPHQ XME IYM -- -- --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,12) 1 3 1 823% 8 0 0 -7% -6% 1% 5%
2-MAA: RS(3,6,12) 2 4 2 185% 33 4 0 1% -6% 1% 5%
3-QAA: RS(3,4,5,6) 2 3 2 175% 26 2 0 1% -6% 6% 7%
4-QAA: RS(3,4,5,6) 3 4 2 174% 16 0 0 -9% -6% 6% 7%
5-QAA: RS(3,6,12) 2 4 1 198% 11 1 0 -9% -16% -9% 2%
6-WWL: RS(2,4,6),DMAC(5) 12 15 2 197% 10 1 1 -5% -18% -8% 7%
My Screens ( Inc'l LTBH ) = 24 -- 12 17% -- 8 1 -- -17.6% -6.8% 5.0%
FCash ( available ) = 2 -- 2 83% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 17 101% -- -- -- -- -4.0% -2.3% 2.8%
My Portfolio Totals = 46 -- 31 44% -- -- -- -- -4.2% -2.3% 2.7%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -15.3% -10.5% 5.2%
Print the post Back To Top
No. of Recommendations: 4
     Market Trends:       PO's              MAC(10M)             DBE(99d,5m)           CountIF  %Bullish    Risk
22-Jul-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status:
SP600 (IJR) Daily | BEARish -1.5% | BEARish -8.5% | BEARish 177 | 0 0.0% Risk_Off
SP400 (MDY) Daily | BEARish -4.8% | BEARish -8.4% | BEARish 177 | 0 0.0% Risk_Off
SP500EW (RSP) Daily | BEARish -8.5% | BEARish -7.6% | BEARish 137 | 0 0.0% Risk_Off
SP1500 (ITOT) Daily | BEARish -11.0% | BEARish -9.8% | BEARish 137 | 0 0.0% Risk_Off
SP500 (.SPx) Daily | BEARish -6.9% | BEARish -8.8% | BEARish 137 | 0 0.0% Risk_Off
--- --- --- --- --- --- --- --- --- ---
CountIF(Bullish) = 0 0 0 0 0.0% Risk_Off

        Screen Ranking (RS):    1      2      3     4      5      6      7     8     9    10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXNAX FXAIX BRKB FSPSX FFNOX FSMAX -- BRKB --
2-MAA: Multi-Asset ETF's COMT AOK RLY AOM AOR AOA -- RLY AOK
3-QAA: Multi-Market Assets PDBC PRF QQEW TLT IEFA FREL -- -- PDBC
4-QAA: Enhanced Assets USMV CMDY LRGF EFAV VLUE SIZE QUAL MTUM -- -- USMV
5-QAA: U.S. Market Assets RSP EQAL EWMC EWSC EWRE QQQE -- -- --
6-WWL: Valuations (FidFolio) RFP SAFM PSQ MRNA MLI QDEL FTXG HUBG WFG FLGT SNDR ECOM -- ECOM --
6-WWL: (13 thru 24) UFPI REGN ORI ITOS SWBI MFC LPX CASH SHOO STEP TROW METC -- TROW --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,12) 1 3 1 44% 9 0 0 -2% -5% 1% 5%
2-MAA: RS(3,6,12) 2 4 2 93% 34 4 0 2% -5% 1% 5%
3-QAA: RS(3,4,5,6) 2 3 2 88% 27 2 0 1% -5% 6% 8%
4-QAA: RS(3,4,5,6) 3 4 2 59% 17 0 0 -8% -5% 6% 8%
5-QAA: RS(3,6,12) 2 4 1 102% 12 1 0 -6% -13% -7% 2%
6-WWL:RS(2,4,6) 12 20 8 136% 1 1 8 -3% -19% -7% 8%
My Screens ( Inc'l LTBH ) = 24 -- 18 18% -- 8 8 -- -16.8% -6.2% 5.1%
FCash ( available ) = 2 -- 2 82% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 18 108% -- -- -- -- -3.4% -2.3% 2.8%
My Portfolio Totals = 46 -- 38 47% -- -- -- -- -3.9% -2.1% 2.7%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -13.6% -8.8% 5.8%
Print the post Back To Top
No. of Recommendations: 3
     Market Trends:       PO's              MAC(10M)             DBE(99d,5m)           CountIF  %Bullish    Risk
29-Jul-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status:
SP600 (IJR) Daily | Bullish 2.0% | BEARish -4.5% | BEARish 182 | 1 6.7% Risk_Off
SP400 (MDY) Daily | BEARish -2.3% | BEARish -4.3% | BEARish 182 | 0 0.0% Risk_Off
SP500EW (RSP) Daily | BEARish -6.8% | BEARish -4.3% | BEARish 142 | 0 0.0% Risk_Off
SP1500 (ITOT) Daily | BEARish -11.0% | BEARish -6.3% | BEARish 142 | 0 0.0% Risk_Off
SP500 (.SPx) Daily | BEARish -5.9% | BEARish -5.3% | BEARish 142 | 0 0.0% Risk_Off
--- --- --- --- --- --- --- --- --- ---
CountIF(Bullish) = 1 0 0 1 6.7% Risk_Off

      Screen Ranking (RS):    1      2      3     4      5      6      7     8     9    10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXNAX FXAIX BRKB FFNOX FSPSX FSMAX -- BRKB --
2-MAA: Multi-Asset ETF's COMT AOK RLY AOM AOR AOA -- RLY COMT
3-QAA: Multi-Market Assets PDBC PRF QQEW TLT FREL IEFA -- -- PDBC
4-QAA: Enhanced Assets USMV CMDY LRGF EFAV SIZE VLUE QUAL MTUM -- -- LRGF
5-QAA: U.S. Market Assets RSP EQAL EWMC EWSC EWRE QQQE -- -- RSP
6-WWL: Value (FidFolio) MLI PSQ WIRE WFG QDEL MRNA DECK LSTR UFPI SNDR REGN SEIC -- MRNA QDEL
6-WWL: (13 thru 24) EXPD FLGT METC ITOS IPI AOSL LPX ECOM SWBI SHOO TROW PUBM -- TROW --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,12) 1 3 1 45% 10 0 0 0% -3% 1% 5%
2-MAA: RS(3,6,12) 2 4 2 81% 35 3 0 7% -3% 1% 5%
3-QAA: RS(3,4,5,6) 2 3 2 76% 28 2 0 6% -4% 4% 7%
4-QAA: RS(3,4,5,6) 3 4 2 76% 18 0 0 -5% -4% 4% 7%
5-QAA: RS(3,6,12) 2 4 1 8% 13 1 0 -2% -11% -10% 2%
6-WWL:RS(3,6,12) 12 20 12 84% 1 2 12 -3% -19% -8% 5%
My Screens ( Inc'l LTBH ) = 24 -- 22 18% -- 8 12 -- -15.8% -6.9% 4.8%
FCash ( available ) = 2 -- 2 82% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 18 108% -- -- -- -- -1.9% -0.9% 3.2%
My Portfolio Totals = 46 -- 42 47% -- -- -- -- -3.2% -1.8% 2.8%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -11.3% -7.0% 6.8%
Print the post Back To Top
No. of Recommendations: 4
     Market Trends:       PO's             MAC(10M)             DBE(99d,5m)           CountIF  %Bullish    Risk
5-Aug-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status:
SP600 (IJR) Daily | Bullish 4.0% | BEARish -4.4% | BEARish 186 | 1 6.7% Risk_Off
SP400 (MDY) Daily | Bullish 1.0% | BEARish -4.6% | BEARish 186 | 1 6.7% Risk_Off
SP500EW (RSP) Daily | BEARish -5.3% | BEARish -4.2% | BEARish 146 | 0 0.0% Risk_Off
SP1500 (ITOT) Daily | BEARish -9.6% | BEARish -5.5% | BEARish 147 | 0 0.0% Risk_Off
SP500 (.SPx) Daily | BEARish -4.8% | BEARish -4.7% | BEARish 147 | 0 0.0% Risk_Off
--- --- --- --- --- --- --- --- --- ---
CountIF(Bullish) = 2 0 0 2 13.3% Risk_Off

      Screen Ranking (RS):    1      2      3     4      5      6      7     8     9    10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXNAX FXAIX BRKB FSPSX FFNOX FSMAX -- BRKB --
2-MAA: Multi-Asset ETF's COMT AOK RLY AOM AOR AOA -- RLY COMT
3-QAA: Multi-Market Assets PDBC QQEW TLT PRF FREL IEFA PRF -- PDBC
4-QAA: Enhanced Assets USMV LRGF SIZE CMDY QUAL EFAV VLUE MTUM -- CMDY USMV
5-QAA: U.S. Market Assets EWMC RSP EQAL EWSC QQQE EWRE -- EQAL EWMC
6-WWL: Value (FidFolio) MLI PSQ WFG UFPI DECK MRNA QDEL SNDR LSTR WIRE SEIC REGN -- WIRE UFPI
6-WWL: (13 thru 24) EXPD FLGT ECOM IPI ITOS LPX METC AOSL SWBI TROW SHOO META -- TROW --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,12) 1 3 1 290% 11 0 0 0% -5% 1% 6%
2-MAA: RS(3,6,12) 2 4 2 36% 36 3 0 3% -5% 1% 6%
3-QAA: RS(3,4,5,6) 2 3 2 34% 29 2 0 3% -5% 1% 8%
4-QAA: RS(3,4,5,6) 3 4 2 35% 19 0 0 -6% -5% 1% 8%
5-QAA: RS(3,6,12) 2 4 1 62% 14 1 0 -1% -9% -11% 3%
6-WWL: RS(3,6,9) 12 20 12 66% 2 2 11 -4% -20% -10% 11%
My Screens ( Inc'l LTBH ) = 24 -- 22 18% -- 8 11 -- -16.7% -7.9% 5.7%
FCash ( available ) = 2 -- 2 82% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 18 107% -- -- -- -- -1.9% -1.5% 3.1%
My Portfolio Totals = 46 -- 42 47% -- -- -- -- -3.3% -2.2% 3.0%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -11.6% -7.5% 7.6%
Print the post Back To Top
No. of Recommendations: 4
     Market Trends:       PO's             MAC(10M)             DBE(99d,5m)           CountIF  %Bullish    Risk
12-Aug-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status:
SP600 (IJR) Daily | Bullish 5.7% | BEARish -0.6% | BEARish 191 | 1 6.7% Risk_Off
SP400 (MDY) Daily | Bullish 3.6% | BEARish -0.2% | BEARish 191 | 1 6.7% Risk_Off
SP500EW (RSP) Daily | BEARish -3.4% | BEARish -0.5% | BEARish 151 | 0 0.0% Risk_Off
SP1500 (ITOT) Daily | BEARish -7.7% | BEARish -2.2% | BEARish 152 | 0 0.0% Risk_Off
SP500 (.SPx) Daily | BEARish -3.6% | BEARish -1.7% | BEARish 152 | 0 0.0% Risk_Off
--- --- --- --- --- --- --- --- --- ---
CountIF(Bullish) = 2 0 0 2 13.3% Risk_Off


          Screen Ranking (RS):    1      2      3     4      5      6      7     8     9    10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXNAX FXAIX BRKB FSPSX FFNOX FSMAX -- BRKB --
2-MAA: Multi-Asset ETF's COMT AOK RLY AOM AOR AOA -- RLY COMT
3-QAA: Multi-Market Assets QQEW TLT PRF PDBC FREL IEFA PDBC PRF TLT
4-QAA: Enhanced Assets USMV LRGF SIZE CMDY QUAL EFAV VLUE MTUM -- CMDY USMV
5-QAA: U.S. Market Assets EWMC QQQE EWSC RSP EQAL EWRE EQAL -- EWMC
6-WWL: Value stocks (FidFolio) MLI MRNA UFPI WFG PSQ INCY ECOM SNDR FLGT LSTR WIRE EXPD -- WIRE UFPI
6-WWL: (13 thru 24) DIOD HLI ITOS SWBI CVX TROW LPX CSCO AOSL SHOO METC PUBM -- METC --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,9) 1 3 1 294% 12 0 0 1% -5% 1% 6%
2-MAA: RS(3,6,9) 2 4 2 38% 37 1 0 7% -5% 1% 6%
3-QAA: RS(3,4,5,6) 2 3 3 56% 20 1 1 6% -5% 1% 8%
4-QAA: RS(3,4,5,6) 3 4 2 36% 20 0 0 -3% -5% 1% 8%
5-QAA: RS(3,4,5,6) 2 4 1 65% 15 0 0 3% -9% -11% 3%
6-WWL: RS(3,4,5,6) 12 20 12 66% 3 2 11 -5% -20% -10% 11%
My Screens ( Inc'l LTBH ) = 24 -- 23 19% -- 4 12 -- -16.9% -8.1% 5.8%
FCash ( available ) = 2 -- 2 81% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 18 108% -- -- -- -- -1.9% -1.5% 3.1%
My Portfolio Totals = 46 -- 43 47% -- -- -- -- -3.3% -2.2% 3.1%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -9.7% -5.7% 8.1%
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No. of Recommendations: 4
     Market Trends:       PO's             MAC(10M)             DBE(99d,5m)           CountIF  %Bullish    Risk
19-Aug-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status:
SP600 (IJR) Daily | Bullish 7.4% | BEARish -1.2% | BEARish 196 | 1 6.7% Risk_Off
SP400 (MDY) Daily | Bullish 5.6% | BEARish -0.8% | BEARish 196 | 1 6.7% Risk_Off
SP500EW (RSP) Daily | BEARish -1.1% | BEARish -1.3% | BEARish 156 | 0 0.0% Risk_Off
SP1500 (ITOT) Daily | BEARish -5.9% | BEARish -2.8% | BEARish 157 | 0 0.0% Risk_Off
SP500 (.SPx) Daily | BEARish -2.4% | BEARish -2.2% | BEARish 157 | 0 0.0% Risk_Off
--- --- --- --- --- --- --- --- --- ---
CountIF(Bullish) = 2 0 0 2 13.3% Risk_Off

             Screen Ranking (RS):    1      2      3      4      5      6     7     8     9    10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXNAX FXAIX FFNOX FSPSX FSMAX BRKB -- -- --
2-MAA: Multi-Asset ETF's COMT AOK RLY AOM AOR AOA -- RLY COMT
3-QAA: Multi-Market Assets QQEW PRF TLT PDBC FREL IEFA -- QQEW PRF
4-QAA: Enhanced Assets USMV LRGF SIZE QUAL CMDY MTUM VLUE EFAV CMDY -- USMV
5-QAA: U.S. Market Assets EWMC QQQE EWSC RSP EQAL EWRE EQAL QQQE EWMC
6-WWL: Quality Metrics (FidFolio) MLI MRNA UFPI WFG ECOM SNDR WIRE LSTR DIOD INCY PSQ EXPD -- WIRE MRNA
6-WWL: (13 thru 24) ITOS FLGT HLI SWBI TROW CSCO CVX LPX AOSL SHOO PUBM METC -- METC --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,9) 1 3 1 303% 13 0 0 4% -4% 4% 6%
2-MAA: RS(3,6,9) 2 4 2 37% 38 0 0 6% -4% 4% 6%
3-QAA: RS(3,4,5,6) 2 3 2 38% 14 1 1 -1% -3% 4% 8%
4-QAA: RS(3,4,5,6) 3 4 2 36% 21 0 0 -4% -3% 4% 8%
5-QAA: RS(3,4,5,6) 2 4 2 92% 8 0 1 -1% -9% -11% 3%
6-WWL: RS(3,4,5,6) 12 20 12 66% 4 1 5 -5% -22% -10% 13%
My Screens ( Inc'l LTBH ) = 24 -- 23 20% -- 2 7 -- -13.0% -5.0% 7.0%
FCash ( available ) = 2 -- 2 80% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 18 107% -- -- -- -- -2.0% -1.3% 2.8%
My Portfolio Totals = 46 -- 43 47% -- -- -- -- -2.7% -1.5% 3.3%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -10.8% -6.1% 7.8%
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No. of Recommendations: 2
As of                                                     Friday, August 26, 2022

Status of the three(x5) used for Allocation: 80% of fifteen indicators are "BEARish".
Count of new signals in the last 30 days = 3 (One new signals since last week)

PO's: 3 of five indicators are "Bullish".
New signal is possible next week.

MAC(10m): 0 of five indicators are "Bullish".
New signal is not likely next week.

DBE(99d,5m): 0 of five indicators are "Bullish".
Next possible 99 day new high is -4.4% %Off_Hi(99)

Other_MAC: (FYI only) 67% of fifteen indicators are "BEARish".
--- --- ---

    26-Aug-2022      |     PO's        PO's     |  MAC(10m)    MAC(10m)   |  DBE(99,105)  DBE(99,105)   |  Other_MAC  Other_MAC   |    Buy&Hold
===== ===== ===== ===== ===== ===== ===== ===== ===== =====
Status Summary | Status LastD_Chg | Status LastD_Chg | Status LastD_Chg | Last_MAC LastD_Chg | Last_Chg(TTM)
SP600 (IJR) Daily | Bullish 2022-07-27 | BEARish 2022-01-31 | BEARish 2022-04-11 | Bullish 2022-07-26 | 2022-04-06
SP400 (MDY) Daily | Bullish 2022-08-04 | BEARish 2022-02-01 | BEARish 2022-04-11 | Bullish 2022-07-26 | 2022-04-12
SP500EW (RSP) Daily | Bullish 2022-08-26 | BEARish 2022-05-05 | BEARish 2022-06-07 | Bullish 2022-08-02 | 2022-05-11
SP1500 (ITOT) Daily | BEARish 2022-02-24 | BEARish 2022-02-25 | BEARish 2022-06-06 | Bullish 2022-07-26 | 2022-04-28
SP500 (.SPx) Daily | BEARish 2022-04-29 | BEARish 2022-04-25 | BEARish 2022-06-06 | Bullish 2022-07-26 | 2022-05-11
Cash_Alloc(Eq-Wt) = | 2 40% | 5 100% | 5 100% | 10 66.7% |
----- ----- ----- ----- ----- ----- ----- ----- ----- -----
Price Derivatives | PPO(Inter) PPO(Slo) | (TP,SMA) SMA(TP,210) | %Off_Hi(99) Since_Hi(99) | Last_MAC Last_MAC | Last_Price
SP600 (IJR) Daily | 6.1% 5.7% | -3.4% 105.23 | -4.4% 201 | (TP,50d) 4.1% | 100.58
SP400 (MDY) Daily | 5.9% 3.6% | -2.8% 474.53 | -5.4% 201 | (TP,50d) 4.8% | 456.40
SP500EW (RSP) Daily | 0.0% -1.7% | -3.7% 151.34 | -7.1% 161 | (TP,50d) 3.3% | 144.13
SP1500 (ITOT) Daily | -4.6% -6.5% | -5.3% 96.59 | -6.9% 162 | (TP,50d) 3.2% | 90.36
SP500 (.SPx) Daily | -2.2% -2.6% | -5.0% 4322.22 | -7.0% 162 | (TP,50d) 2.8% | 4057.66
----- ----- ----- ----- ----- ----- ----- ----- ----- -----

More detail: TMF Foolish Workshop
https://boards.fool.com/Message.aspx?mid=35013503
https://boards.fool.com/market-trend-indicators-for-2021-347...
https://boards.fool.com/market-trend-indicators-for-2020-343...
https://boards.fool.com/market-trend-indicators-for-2019-341...
http://boards.fool.com/market-trend-indicators-for-2018-3294...
http://boards.fool.com/market-trend-indicators-for-2017-3254...
http://boards.fool.com/market-trend-indicators-for-2016-3206...
http://boards.fool.com/market-trend-indicators-for-2015-3156...
http://boards.fool.com/market-trend-indicators-for-mi-screen...

GD_
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No. of Recommendations: 2
Modern Family:        Symbol:    Status:    Roles (leading indicators that act as a guide for the stock market macro picture)
S&P 500 Index .SPx Warning - major U.S. market index
Russell 1000EW EQAL Warning - gauge the health of many Large-Mid companies within the U.S.
Russell 2000 IWM Warning - gauge the health of many Small-Micro companies within the U.S.
Transportation IYT Warning - measure Industry & Manufacture strength - supply and demand
Retail XRT Warning - measure strength economy and consumer confidence
Regional Bank KRE Warning - measure the health of financial system in the U.S.
BioTech IBB Warning - highly speculated: assesses where money is flowing
SemiConductor SMH Warning - innovation: a major player technology trends
--- --- --- ---

26-Aug-2022          |  Market Index  |  Market Index  |  ModernFamily   ModernFamily   ModernFamily   ModernFamily   ModernFamily   ModernFamily
Family Titles: | Large Blend | Mid Blend | "Grandpa" "Tran" "Grandma" "Prodigal Son" "Big Brother" "Sister"
Index: (daily) | SP500 | R1000EW | R2000 Transportation Retail Regional Bank BioTech SemiConductor
Symbol: | .SPX | EQAL | IWM IYT XRT KRE IBB SMH

Status:(3)* | Warning | Warning | Warning Warning Warning Warning Warning Warning
LastD_Change | 2022-07-25 | 2022-08-02 | 2022-07-25 2022-07-25 2022-07-25 2022-07-25 2022-06-29 2022-07-25
Since_Change | 32 | 24 | 32 32 32 32 58 32
Signals(3)/Yr | 9 | 10 | 6 8 6 9 5 8
%Bullish/Yr | 40% | 37% | 25% 28% 11% 37% 10% 37%
Status MAC(50) | Support | Support | Support Support Support Support Support Support
Status MAC(200) | Resistance | Resistance | Resistance Resistance Resistance Resistance Resistance Resistance

Slope(50) | 14% | 14% | 19% 19% 18% 17% 13% 19%
Slope(200) | -20% | -14% | -25% -23% -47% -23% -25% -39%
Last_Price | 4057.66 | 42.57 | 188.98 235.27 65.55 64.12 122.95 222.67
50-DMA | 3996.19 | 41.37 | 182.10 226.60 64.24 61.96 123.91 223.06
200-DMA | 4307.05 | 44.16 | 197.79 248.38 75.73 67.38 129.83 257.13
DMAC(50,200) | -7.2% | -6.3% | -7.9% -8.8% -15.2% -8.0% -4.6% -13.2%

52wL | 3666.77 | 38.38 | 163.90 207.48 58.16 56.83 105.82 195.99
52wH | 4796.56 | 48.05 | 242.56 279.97 104.16 78.78 176.00 316.56
%Off_52wH | -15% | -11% | -22% -16% -37% -19% -30% -30%
LastD_52wH | 2022-01-03 | 2021-11-15 | 2021-11-08 2022-01-04 2021-11-16 2022-01-14 1900-01-00 2021-12-27
Since_52wH | 235 | 284 | 291 234 283 224 44799 242
New_52wH/Yr | 20 | 10 | 4 2 5 12 0 19
--- --- --- --- --- --- --- --- ---

The Economic Modern Family (MarketGauge.com) is a combination of one market index and 5 varying sectors & groups for "Market Analysis".
Trend indicators that give you an overall weekly gauge of how aggressive or not to be on the long or short side.

*My Modern Family signals(3) are not strictly identical to the MarketGauge.com "Phases Tutorial"(6).
0% - "BEARish" phase is when the price(5d) is below the 50-Day and 200-Day moving averages while the 50-DMA is below the 200-DMA.
100% - "Cautionary Warning" phase is when the price(5d) is below the 200-Day moving averages for at least 5 days.
0% - "Cautionary Watch" phase is when the price(5d) is below the 50-Day moving averages for at least 5 days.
0% - "Bullish" phase is when the price(5d) is above the 50-Day and 200-Day moving averages for at least 5 days.
50% - "Support" is the level at which demand is strong enough to stop the stock from falling any further. (MAC positive 5d)
50% - "Resistance" is the level at which supply is strong enough to stop the stock from moving higher. (MAC negative 5d)

GD_
--- ---
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No. of Recommendations: 4
     Market Trends:       PO's             MAC(10M)             DBE(99d,5m)           CountIF  %Bullish    Risk      CountIF     Risk
26-Aug-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status: Bullish Gauges
SP600 (IJR) Daily | Bullish 6.1% | BEARish -3.4% | BEARish 201 | 1 6.7% Risk_Off --- ---
SP400 (MDY) Daily | Bullish 5.9% | BEARish -2.8% | BEARish 201 | 1 6.7% Risk_Off 0 thru 9 Risk_Off
SP500EW (RSP) Daily | Bullish 0.0% | BEARish -3.7% | BEARish 161 | 1 6.7% Risk_Off --- ---
SP1500 (ITOT) Daily | BEARish -4.6% | BEARish -5.3% | BEARish 162 | 0 0.0% Risk_Off 0 0
SP500 (.SPx) Daily | BEARish -2.2% | BEARish -5.0% | BEARish 162 | 0 0.0% Risk_Off --- ---
--- --- --- --- --- --- --- --- --- --- 10 thru 15 Risk_On
CountIF(Bullish) = 3 0 0 3 20.0% Risk_Off
--- ---

      Screen Ranking (RS):    1      2      3     4      5      6      7     8     9    10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXAIX FXNAX BRKB FFNOX FSPSX FSMAX -- BRKB --
2-MAA: Multi-Asset ETF's COMT AOK RLY AOM AOR AOA -- RLY COMT
3-QAA: Multi-Market Assets QQEW PRF FREL PDBC TLT IEFA -- QQEW PRF
4-QAA: Enhanced Assets USMV LRGF SIZE QUAL VLUE CMDY MTUM EFAV CMDY -- USMV
5-QAA: U.S. Market Assets EWMC QQQE EWSC RSP EUSA EQAL -- QQQE EWMC
6-WWL: Quality Metrics MLI MEDP WGO UFPI OXY WIRE MTDR BLDR ICPT SM PSQ STLD -- -- MLI
6-WWL: (13 thru 24) SWBI NUE LPI AOSL LPX PXD FTNT HCC MATX ATKR PDCE EGLE METC LPX --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,9,12) 1 3 1 197% 14 0 0 2% -5% 1% 7%
2-MAA: RS(3,6,9,12) 2 4 2 25% 39 0 0 8% -5% 1% 7%
3-QAA: RS(3,4,5,6) 2 3 2 24% 15 1 1 -5% -5% 2% 9%
4-QAA: RS(3,4,5,6) 3 4 2 24% 22 0 0 -4% -5% 2% 9%
5-QAA: RS(3,4,5,6) 2 4 1 18% 2 1 1 -7% -12% -15% 4%
6-WWL: RS(3,4,5,6) 15 20 6 32% 5 7 0 -4% -21% -12% 14%
My Screens ( Inc'l LTBH ) = 27 -- 16 18% -- 9 2 -- -13.6% -6.9% 7.2%
FCash ( available ) = 2 -- 2 82% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 18 108% -- -- -- -- -2.0% -1.3% 2.9%
My Portfolio Totals = 49 -- 36 47% -- -- -- -- -2.8% -1.8% 3.4%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -12.9% -9.1% 7.1%
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No. of Recommendations: 3
     Market Trends:       PO's             MAC(10m)             DBE(99d,5m)           CountIF  %Bullish    Risk      CountIF     Risk
2-Sep-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status: Bullish Gauges
SP600 (IJR) Daily | Bullish 1.2% | BEARish -8.6% | BEARish 206 | 1 6.7% Risk_Off --- ---
SP400 (MDY) Daily | Bullish 4.2% | BEARish -7.0% | BEARish 206 | 1 6.7% Risk_Off 0 thru 9 Risk_Off
SP500EW (RSP) Daily | Bullish 0.2% | BEARish -6.8% | BEARish 166 | 1 6.7% Risk_Off --- ---
SP1500 (ITOT) Daily | BEARish -3.5% | BEARish -8.7% | BEARish 166 | 0 0.0% Risk_Off 0 0
SP500 (.SPx) Daily | BEARish -2.7% | BEARish -8.3% | BEARish 166 | 0 0.0% Risk_Off --- ---
--- --- --- --- --- --- --- --- --- --- 10 thru 15 Risk_On
CountIF(Bullish) = 3 0 0 3 20.0% Risk_Off
--- ---

      Screen Ranking (RS):    1      2      3     4      5      6      7     8     9    10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXAIX FXNAX BRKB FFNOX FSPSX FSMAX -- BRKB --
2-MAA: Multi-Asset ETF's COMT AOK AOM RLY AOR AOA -- RLY COMT
3-QAA: Multi-Market Assets QQEW PRF FREL TLT PDBC IEFA -- QQEW PRF
4-QAA: Enhanced Assets LRGF USMV SIZE QUAL VLUE MTUM CMDY EFAV CMDY -- LRGF
5-QAA: U.S. Market Assets EWMC QQQE EWSC RSP EUSA EQAL -- QQQE EWMC
6-WWL: Quality Metrics WGO MEDP UFPI WIRE OXY VRTX CRK MTDR BLDR ICPT DK SM -- ICPT --
6-WWL: (13 thru 24) NUE VCTR STLD AOSL PSQ LPI PXD HCC MATX ATKR FTNT PDCE -- EGLE --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,9,12) 1 3 1 38% 15 0 0 -4% -7% -3% 6%
2-MAA: RS(3,6,9,12) 2 4 2 24% 40 0 0 3% -7% -3% 6%
3-QAA: RS(3,4,5,6) 2 3 2 24% 16 1 1 -8% -6% -5% 7%
4-QAA: RS(3,4,5,6) 3 4 2 23% 23 0 0 -7% -6% -5% 7%
5-QAA: RS(3,4,5,6) 2 4 1 18% 3 1 1 -10% -12% -20% 3%
6-WWL: RS(3,4,5,6) 15 20 15 120% 1 10 14 -2% -22% -20% 11%
My Screens ( Inc'l LTBH ) = 27 -- 25 20% -- 12 16 -- -14.8% -10.3% 6.4%
FCash ( available ) = 2 -- 2 80% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 18 108% -- -- -- -- -3.3% -2.6% 2.3%
My Portfolio Totals = 49 -- 45 48% -- -- -- -- -3.4% -2.9% 2.9%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -15.0% -12.3% 5.6%
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No. of Recommendations: 4
     Market Trends:       PO's             MAC(10m)             DBE(99d,5m)           CountIF  %Bullish    Risk      CountIF     Risk
9-Sep-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status: Bullish Gauges
SP600 (IJR) Daily | Bullish -1.5% | BEARish -6.4% | BEARish 211 | 1 6.7% Risk_Off --- ---
SP400 (MDY) Daily | Bullish 2.2% | BEARish -3.4% | BEARish 211 | 1 6.7% Risk_Off 0 thru 9 Risk_Off
SP500EW (RSP) Daily | Bullish 0.0% | BEARish -3.4% | BEARish 171 | 1 6.7% Risk_Off --- ---
SP1500 (ITOT) Daily | BEARish -2.9% | BEARish -5.7% | BEARish 171 | 0 0.0% Risk_Off 0 0
SP500 (.SPx) Daily | BEARish -2.8% | BEARish -5.6% | BEARish 171 | 0 0.0% Risk_Off --- ---
--- --- --- --- --- --- --- --- --- --- 10 thru 15 Risk_On
CountIF(Bullish) = 3 0 0 3 20.0% Risk_Off
--- ---

      Screen Ranking (RS):    1      2      3     4      5      6      7     8    9    10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXAIX FXNAX BRKB FSMAX FFNOX FSPSX -- BRKB --
2-MAA: Multi-Asset ETF's COMT AOK AOM RLY AOR AOA -- RLY COMT
3-QAA: Multi-Market Assets QQEW PRF FREL TLT PDBC IEFA -- -- QQEW
4-QAA: Enhanced Assets LRGF USMV SIZE QUAL MTUM VLUE CMDY EFAV -- -- LRGF
5-QAA: U.S. Market Assets EWMC QQQE EWSC EUSA RSP EQAL -- QQQE EWMC
6-WWL: Quality Metrics WGO MEDP CRK WIRE UFPI OXY VRTX MTDR THO ICPT NUE DK -- ICPT --
6-WWL: (13 thru 24) SM BLDR STLD VCTR RYI PSQ LPI PXD HCC ATKR PDCE FTNT -- EGLE --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,9,12) 1 3 1 38% 16 0 0 -3% -6% -1% 5%
2-MAA: RS(3,6,9,12) 2 4 2 24% 41 0 0 4% -6% -1% 5%
3-QAA: RS(3,4,5,6) 2 3 2 24% 17 1 0 -4% -5% 0% 7%
4-QAA: RS(3,4,5,6) 3 4 1 11% 22 1 0 -6% -5% 0% 7%
5-QAA: RS(3,4,5,6) 2 4 1 19% 4 1 1 -6% -10% -19% 2%
6-WWL: RS(3,4,5,6) 15 20 15 116% 2 10 14 -4% -27% -20% 9%
My Screens ( Inc'l LTBH ) = 27 -- 24 20% -- 13 15 -- -14.5% -8.9% 6.1%
FCash ( available ) = 2 -- 2 80% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 18 109% -- -- -- -- -3.6% -3.2% 2.3%
My Portfolio Totals = 49 -- 44 48% -- -- -- -- -3.5% -2.8% 2.8%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -13.4% -10.1% 6.1%
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No. of Recommendations: 3
     Market Trends:       PO's             MAC(10m)             DBE(99d,5m)           CountIF  %Bullish    Risk      CountIF     Risk
16-Sep-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status: Bullish Gauges
SP600 (IJR) Daily | BEARish -3.1% | BEARish -9.9% | BEARish 215 | 0 0.0% Risk_Off --- ---
SP400 (MDY) Daily | Bullish 0.7% | BEARish -7.8% | BEARish 215 | 1 6.7% Risk_Off 0 thru 9 Risk_Off
SP500EW (RSP) Daily | BEARish -0.4% | BEARish -7.8% | BEARish 175 | 0 0.0% Risk_Off --- ---
SP1500 (ITOT) Daily | BEARish -2.4% | BEARish -9.8% | BEARish 176 | 0 0.0% Risk_Off 0 0
SP500 (.SPx) Daily | BEARish -3.3% | BEARish -9.7% | BEARish 176 | 0 0.0% Risk_Off --- ---
--- --- --- --- --- --- --- --- --- --- 10 thru 15 Risk_On
CountIF(Bullish) = 1 0 0 1 6.7% Risk_Off
--- ---

      Screen Ranking (RS):    1      2      3     4      5      6      7     8     9   10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXAIX FXNAX BRKB FSMAX FSPSX FFNOX -- BRKB --
2-MAA: Multi-Asset ETF's RLY AOK COMT AOM AOR AOA -- -- RLY
3-QAA: Multi-Market Assets QQEW PRF FREL TLT PDBC IEFA -- -- QQEW
4-QAA: Enhanced Assets LRGF USMV SIZE MTUM QUAL VLUE CMDY EFAV -- -- LRGF
5-QAA: U.S. Market Assets EWMC QQQE EUSA RSP EWSC EQAL -- -- EWMC
6-WWL: Quality Metrics WGO CRK MEDP WIRE MTDR ICPT OXY VRTX UFPI THO NUE ROCC -- VRTX --
6-WWL: (13 thru 24) STLD VCTR BLDR RYI PSQ HCC LPI ABBV PDCE LPX ATKR FTNT -- EGLE --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,9,12) 1 3 1 37% 17 0 0 -6% -8% -3% 5%
2-MAA: RS(3,6,9,12) 2 4 2 72% 42 0 0 2% -8% -3% 5%
3-QAA: RS(3,4,5,6) 2 3 2 70% 18 1 0 -9% -7% 0% 7%
4-QAA: RS(3,4,5,6) 3 4 1 28% 23 1 0 -10% -7% 0% 7%
5-QAA: RS(3,4,5,6) 2 4 1 45% 5 1 0 -11% -13% -22% 2%
6-WWL: RS(3,4,5,6) 15 20 15 362% 3 10 14 -1% -19% -16% 10%
My Screens ( Inc'l LTBH ) = 27 -- 24 20% -- 13 14 -- -19.0% -12.7% 5.3%
FCash ( available ) = 2 -- 2 80% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 18 109% -- -- -- -- -4.1% -3.9% 2.3%
My Portfolio Totals = 49 -- 44 48% -- -- -- -- -4.3% -3.7% 2.6%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -16.3% -12.8% 4.6%
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No. of Recommendations: 2
     Market Trends:       PO's             MAC(10m)             DBE(99d,5m)           CountIF  %Bullish    Risk      CountIF     Risk
23-Sep-2022 Status: Inter Status: TP,210 Status: MktD Bullish Eq-Wt Status: Bullish Gauges
SP600 (IJR) Daily | BEARish -4.9% | BEARish -14.0% | BEARish 220 | 0 0.0% Risk_Off --- ---
SP400 (MDY) Daily | BEARish -0.5% | BEARish -12.8% | BEARish 220 | 0 0.0% Risk_Off 0 thru 9 Risk_Off
SP500EW (RSP) Daily | BEARish -2.1% | BEARish -12.9% | BEARish 180 | 0 0.0% Risk_Off --- ---
SP1500 (ITOT) Daily | BEARish -2.9% | BEARish -13.7% | BEARish 181 | 0 0.0% Risk_Off 0 0
SP500 (.SPx) Daily | BEARish -4.4% | BEARish -13.3% | BEARish 181 | 0 0.0% Risk_Off --- ---
--- --- --- --- --- --- --- --- --- --- 10 thru 15 Risk_On
CountIF(Bullish) = 0 0 0 0 0.0% Risk_Off
--- ---

      Screen Ranking (RS):    1      2      3     4      5      6      7     8     9    10    11    12    Sell  HTD    Buy
1-MAA: Long-Term (BRKB) FXAIX FXNAX BRKB FSMAX FSPSX FFNOX -- BRKB --
2-MAA: Multi-Asset ETF's COMT RLY AOK AOM AOR AOA -- -- --
3-QAA: Multi-Market Assets QQEW PRF FREL TLT PDBC IEFA -- -- QQEW
4-QAA: Enhanced Assets LRGF USMV SIZE MTUM QUAL VLUE CMDY EFAV -- -- LRGF
5-QAA: U.S. Market Assets EWMC QQQE EUSA RSP EQAL EWSC -- -- EWMC
6-WWL: Quality Metrics CRK WGO MEDP ICPT MTDR VRTX WIRE OXY UFPI STLD NUE THO -- STLD --
6-WWL: (13 thru 24) VCTR ROCC RYI PSQ BLDR HCC LPI ABBV PDCE LPX ATKR FTNT -- EGLE --

Screen Criteria              Alloc#  HTD#  Held#  Vested  HeldW  Sold#  Bot#  %G/L  (YTD)   TR(1y)  TR(3y)
1-MAA: RS(3,6,9,12) 1 3 1 36% 18 0 0 -9% -9% -4% 5%
2-MAA: RS(3,6,9,12) 2 4 2 176% 43 0 0 -3% -9% -4% 5%
3-QAA: RS(3,4,5,6) 2 3 1 86% 30 1 0 -13% -9% 1% 7%
4-QAA: RS(3,4,5,6) 3 4 1 82% 24 1 0 -13% -9% 1% 7%
5-QAA: RS(3,4,5,6) 2 4 0 0% 0 2 0 0% -13% -23% 2%
6-WWL: RS(3,4,5,6) 12 20 15 461% 4 4 14 0% -15% -14% 10%
My Screens ( Inc'l LTBH ) = 24 -- 22 17% -- 8 14 -- -19.7% -13.0% 5.2%
FCash ( available ) = 2 -- 2 83% -- -- -- -- 0% 0% 0%
Fixed Income ( ladder ) = 20 -- 17 107% -- -- -- -- -5.1% -4.8% 2.0%
My Portfolio Totals = 46 -- 41 46% -- -- -- -- -4.8% -4.1% 2.4%
BenchMark ( 60/40 )** = 7 -- -- -- -- -- -- -- -19.1% -15.3% 3.7%
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