Message Font: Serif | Sans-Serif
 
No. of Recommendations: 2
Quant Asset Allocation & Rotation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Goal : Apply a tested risk adjusted mechanical trend analysis model for Quant screen trading.
Screens : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
21-Feb-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | Bullish -0.1% | Bullish 4.9% | Bullish 24 | 3 20.0% Risk_On
SP400 (MDY) Daily | Bullish 1.5% | Bullish 6.4% | Bullish 1 | 3 20.0% Risk_On
SP500EW (RSP) Daily | Bullish 4.7% | Bullish 7.3% | Bullish 1 | 3 20.0% Risk_On
SP3200 (ITOT) Daily | Bullish 7.3% | Bullish 9.9% | Bullish 1 | 3 20.0% Risk_On
SP500 (.SPx) Daily | Bullish 215.56 | Bullish 10.1% | Bullish 1 | 3 20.0% Risk_On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 5 5 5 15 100.0% Risk_On

    Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot    ROI   YTD   TR1y   TR3y
1- RS2(4,5),RS1(5,6) 96% 311 1 - - - - 7.2% 2.8% 12% 10%
2- RS2(3,4),RS1(4,5) 89% 259 3 - - - - 6.2% 2.8% 12% 10%
3- RS2(3,4),RS1(5),PO(42/126) 99% 51 2 - - - EUSA 7.4% 7.5% 15% 8%
4- RS2(4,5),RS1(6),PO(42/126) 96% 176 2 - - ACWV QUAL 9.3% 7.5% 15% 8%
5- RS2(3,4),RS1(5),PO(40/120) 95% 360 2 - - - - 13.3% 3.2% 16% 5%
6- RS2(3,4),RS1(5),PO(30/120) 60% 35 7 - IWY SMH PSI 3.9% 3.6% 9% 16%
Cash Allocation 0% 109 0 --- --- --- --- --- --- --- ---
Portfolio Totals = 91% 126 20 - - - - 6.5% 5.0% 13.7% 9.3%
BenchMark (60/40) = N/A B&H 7 - - - - - 2.0% 12.0% 7.8%

1-QTAA      BM       12m     6m      5m      4m   (4,5)  (5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FXAIX
SP:500 16% 30% 34% 33% 34% 1 5.1% 5.8% 6.1% BUY 0%
FSMAX DJ:CTSM 8% 22% 25% 21% 23% 2 3.4% 4.0% 4.3% HTD 0%
FFNOX AA:GL 12% 20% 21% 16% 18% 3 2.8% 3.0% 3.2% HTD 311 7.2% 96%
FSPSX MSCI:EAFE 8% 16% 12% 2% 7% 4 1.6% 1.5% 1.4% HTD 0%
FUAMX BB:ITT 6% -1% 1% 4% 2% 5 0.2% 0.5% 0.7% Sell 0%

2-QTAA   Asset     12m     5m      4m     3m   (3,4)  (4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOA
GL:Agr 10% 21% 18% 16% 17% 1 3.1% 3.4% 3.4% BUY 114 4.2% 31%
AOR GL:Gro 9% 17% 15% 14% 14% 2 2.4% 2.7% 2.7% BUY 330 6.7% 33%
IYLD GL:Inc 5% 12% 13% 15% 14% 3 1.9% 2.2% 2.3% BUY 0%
AOM GL:Mod 8% 12% 12% 12% 12% 4 1.7% 2.0% 2.1% HTD 333 8.1% 25%
AOK GL:Con 7% 10% 10% 11% 11% 5 1.5% 1.7% 1.8% Sell 0%
COMT GL:Com -5% -6% -18% -32% -25% 6 -0.9% -2.3% -3.5% Sell 0%

3-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QQEW
GL:EW 18% 45% 44% 47% 1 1 4.9% 7.1% 8.0% BUY 81 10.6% 52%
EUSA US:EW 13% 30% 26% 24% 3 2 3.4% 4.6% 5.1% HTD 21 4.0% 47%
FUTY US:Util 16% 19% 32% 49% 2 3 1.6% 3.4% 4.9% BUY 0%
IEFA DM:BMC 8% 18% 9% 4% 6 4 2.6% 2.9% 2.8% Sell 0%
FREL US:RE 12% 9% 16% 31% 4 5 0.6% 1.6% 2.7% Sell 0%
TLT US:LTT 17% 3% 14% 20% 5 6 -0.3% 0.2% 1.2% Sell 0%

4-QAR    Asset     12m     6m      5m      4m   (4,5)   (6)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QUAL
US:Qua 17% 33% 37% 34% 2 1 4.3% 5.7% 6.4% HTD 25 2.3% 50%
MTUM US:Mo 17% 26% 36% 43% 1 2 3.4% 5.4% 6.8% BUY 0%
FDLO US:LV 18% 24% 29% 31% 3 3 3.0% 4.4% 5.3% HTD 326 18.0% 46%
USMV US:MV 16% 16% 22% 28% 4 4 2.0% 3.4% 4.3% Sell 0%
ACWV GL:MV 11% 11% 11% 13% 5 5 1.2% 1.9% 2.5% Sell 0%
EFAV DM:MV 6% 8% 6% 1% 7 6 1.0% 0.9% 1.2% Sell 0%
FBND US:TB 6% 2% 4% 7% 6 7 0.3% 0.6% 0.9% Sell 0%
EEMV EM:MV -2% 1% -2% -9% 8 8 0.1% 0.0% -0.5% Sell 0%

5-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 50/120 40/120 30/120 Status: HTD(31) (%) (N)
ITOT
USA:BMC 15% 35% 33% 32% 1 1 4.4% 5.1% 5.5% BUY 338 17.3% 49%
IEUR EUR:BMC 7% 24% 16% 12% 2 2 3.4% 3.6% 3.5% BUY 0%
AOK GL:Con 7% 10% 10% 11% 3 3 1.3% 1.5% 1.6% HTD 381 9.3% 46%
IPAC PAC:BMC 7% 7% -3% -10% 5 4 1.2% 0.9% 0.9% HTD 0%
ILF LA:LCV -4% 6% -6% -8% 6 5 1.7% 1.3% 0.6% HTD 0%
SHY US:STT 1% 0% 1% 2% 4 6 0.0% 0.1% 0.1% NA 0%

6-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
XBI
US:Bio 7% 65% 51% 14% 13 1 8.1% 7.9% 7.7% BUY 53 2.4% 7%
PSI US:SC 30% 58% 57% 68% 1 2 9.2% 10.3% 10.7% HTD 7 -4.3% 6%
XSD US:SCEW 35% 57% 53% 51% 4 3 8.8% 9.2% 9.0% BUY 81 10.1% 12%
QTEC GL:TEW 25% 57% 58% 61% 2 4 8.8% 9.9% 10.2% HTD 21 4.3% 7%
IWY US:LCG 22% 50% 53% 58% 3 5 7.7% 9.0% 9.6% BUY 0 0%
RYT US:TEW 20% 45% 44% 43% 5 6 6.7% 7.6% 8.0% BUY 0 0%
XT GL:TEW 16% 40% 36% 34% 9 7 6.0% 6.7% 6.8% BUY 0 0%
ESGU US:ESG 18% 39% 37% 38% 7 8 5.8% 6.6% 6.9% BUY 0 0%
RDVY US:D-I 21% 37% 26% 20% 19 9 5.4% 5.4% 5.2% HTD 46 1.5% 6%
SPGP US:MFac 21% 37% 26% 21% 18 10 5.2% 5.4% 5.4% HTD 100 5.3% 11%
IWP US:MCG 15% 37% 37% 35% 8 11 5.4% 6.2% 6.5% BUY 0%
TDIV GL:D-I 16% 36% 35% 42% 6 12 5.4% 6.3% 6.9% BUY 0%
SPHQ US:Qua 17% 35% 33% 30% 14 13 5.3% 5.8% 5.9% BUY 0%
GSLC US:LCB 17% 35% 34% 34% 10 14 5.2% 5.9% 6.3% BUY 0%
MOAT US:Fun 21% 33% 22% 16% 20 15 4.5% 4.8% 4.8% HTD 72 3.0% 11%
QUS US:Qua 18% 30% 29% 29% 16 16 4.5% 5.1% 5.5% Sell 0%
XAR US:A&D 23% 30% 32% 33% 12 17 4.1% 5.1% 5.3% Sell 0%
XMMO US:Mo 11% 29% 33% 35% 11 18 4.4% 5.3% 5.8% Sell 0%
XHB US:HB 23% 26% 23% 35% 17 19 4.0% 5.4% 6.1% Sell 0%
LGLV US:LV 17% 22% 27% 32% 15 20 3.3% 4.2% 4.7% Sell 0%
Print the post Back To Top
No. of Recommendations: 2
Quant Asset Rotation & Allocation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Selection : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
10-Jan-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | Bullish 1.8% | Bullish 5.7% | Bullish 6 | 3 20.0% Risk On
SP400 (MDY) Daily | Bullish 3.5% | Bullish 5.6% | Bullish 6 | 3 20.0% Risk On
SP500EW (RSP) Daily | Bullish 4.9% | Bullish 7.4% | Bullish 0 | 3 20.0% Risk On
SP3200 (ITOT) Daily | Bullish 5.9% | Bullish 9.2% | Bullish 0 | 3 20.0% Risk On
SP500 (.SPx) Daily | Bullish 178.86 | Bullish 9.9% | Bullish 0 | 3 20.0% Risk On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 5 5 5 15 100.0% Risk On

    Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy   Sold*  Bot   ROI   YTD   TR1y   TR3y
1- RS(4,5),RS(5,6) 94% 269 1 - - - - 5.2% 0.8% 12% 10%
2- RS(3,4),RS(4,5) 71% 217 3 - - - - 6.5% 0.8% 12% 10%
3- RS(4),RS(3,4,5),PO(42/126) 50% 39 1 - EUSA - - 6.8% 1.5% 12% 7%
4- RS(4),RS(4,5,6),PO(42/126) 93% 111 2 ACWV - - - 7.1% 1.5% 12% 7%
5- RS(4),RS(4,5,6),PO(40/120) 94% 318 2 - - - - 11.2% 0.9% 16% 5%
6- RS(4),RS(3,4,5),PO(30/120) 75% 29 7 - XLK ITB XBI 7.9% 1.6% 9% 15%
Cash Allocation 0% 67 0 --- --- --- --- --- --- --- ---
Portfolio Totals = 86% 115 19 - - - - 7.3% 1.0% 13.4% 8.7%
BenchMark (60/40) = N/A B&H 7 - - - - - 1.1% 15.9% 8.1%

1-QTAA      BM       12m     6m      5m      4m   (4,5)  (5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FXAIX
SP:500 16% 20% 28% 30% 29.0% 1 4.3% 4.9% 5.3% BUY 0%
FSPSX MSCI:EAFE 10% 18% 25% 20% 22.1% 2 3.3% 3.4% 3.4% HTD 0%
FFNOX AA:GL 13% 17% 24% 23% 23.5% 3 3.5% 3.9% 4.2% HTD 269 5.2% 94%
FSMAX DJ:CTSM 7% 13% 22% 22% 22.1% 4 3.3% 3.5% 3.5% HTD 0%
FUAMX BB:ITT 7% -1% -5% -4% -4.4% 5 -0.5% -0.6% -0.7% Sell 0%

2-QTAA  Asset     12m     5m      4m     3m   (3,4)  (4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOA
GL:Agr 10% 22% 23% 24% 23.6% 1 3.3% 3.7% 4.2% BUY 72 4.8% 21%
AOR GL:Gro 9% 16% 17% 18% 17.5% 2 2.4% 2.8% 3.1% BUY 288 8.1% 25%
COMT GL:Com -2% 15% 12% 15% 13.7% 3 1.8% 2.2% 2.6% BUY 0%
AOM GL:Mod 8% 10% 11% 12% 11.5% 4 1.6% 1.8% 2.0% HTD 291 6.6% 24%
IYLD GL:Inc 4% 9% 10% 12% 10.9% 5 1.2% 1.6% 1.9% Sell 0%
AOK GL:Con 8% 7% 8% 9% 8.6% 6 1.1% 1.3% 1.5% Sell 0%

3-QAR   Asset     12m     5m      4m     3m   (4)  (3,4,5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QQEW
GL:EW 17% 34% 39% 44% 1 1 3.2% 4.9% 5.9% BUY 39 6.8% 50%
EUSA US:EW 13% 27% 28% 32% 2 2 2.6% 4.0% 4.5% BUY 0%
IEFA DM:BMC 8% 29% 26% 21% 3 3 3.2% 4.1% 4.4% HTD 0%
FUTY US:Ut 16% 4% -3% 2% 4 4 0.9% 0.7% 1.2% Sell 0%
FREL US:RE 14% 0% -5% -10% 5 5 0.8% 0.2% 0.2% Sell 0%
TLT US:LTT 19% -15% -10% -6% 6 6 -0.8% -1.0% -1.0% Sell 0%

4-QAR   Asset     12m     6m      5m      4m   (4)  (4,5,6)  PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QUAL
US:Qua 17% 23% 32% 36% 1 1 3.1% 4.9% 5.7% BUY 0 0%
FDLO US:LV 18% 15% 18% 22% 2 2 1.8% 3.0% 3.6% BUY 284 14.6% 45%
MTUM US:Mo 16% 8% 14% 21% 3 3 1.0% 2.3% 2.9% HTD 0%
EFAV DM:MV 7% 11% 12% 8% 5 4 1.6% 1.7% 1.6% Sell 0%
USMV US:MV 18% 8% 8% 9% 4 5 0.8% 1.4% 1.9% Sell 0%
ACWV GL:MV 13% 8% 8% 5% 7 6 1.1% 1.2% 1.3% Sell 50 1.0% 48%
EEMV EM:MV -2% 5% 9% 5% 6 7 0.9% 0.7% 0.6% Sell 0%
FBND US:TB 6% 1% -1% 1% 8 8 0.1% 0.1% 0.2% Sell 0%

5-QAR    Asset     12m     6m      5m      4m   (4)  (4,5,6)  PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 50/120 40/120 30/120 Status: HTD(31) (%) (N)
IEUR
EUR:BMC 7% 23% 32% 32% 1 1 4.1% 4.5% 4.8% BUY 0%
ITOT USA:BMC 14% 20% 28% 31% 2 2 3.7% 4.3% 4.7% BUY 296 14.4% 49%
IPAC PAC:BMC 8% 20% 25% 17% 4 3 3.4% 3.4% 3.4% HTD 0%
ILF LA:LCV -6% 9% 26% 22% 3 4 2.4% 2.3% 2.9% HTD 0%
AOK GL:Con 8% 6% 7% 8% 5 5 1.0% 1.1% 1.2% HTD 339 8.0% 46%
SHY US:STT 2% 0% -1% -1% 6 6 -0.1% -0.1% -0.1% NA 0%

6-QAR    Asset     12m     5m      4m     3m   (4)  (3,4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
XBI
US:Bio 3% 54% 79% 100% 1 1 9.4% 11.8% 12.2% HTD 11 -0.1% 6%
SMH US:SC 35% 64% 64% 65% 2 2 9.4% 10.6% 12.1% BUY 79 18.2% 16%
XSD US:SC 35% 49% 56% 71% 3 3 7.5% 8.8% 10.4% BUY 39 11.8% 12%
IXN GL:Tec 27% 46% 51% 55% 4 4 7.1% 8.0% 9.0% BUY 39 8.9% 11%
XLK US:Tec 28% 44% 51% 57% 5 5 6.8% 7.7% 8.7% BUY 0%
QTEC GL:Tec 24% 44% 49% 59% 6 6 6.7% 7.8% 8.9% BUY 0 0%
RDVY US:Div 19% 48% 46% 46% 7 7 6.8% 7.6% 8.3% HTD 4 1.4% 6%
QQQ GL:LCB 21% 38% 45% 49% 8 8 5.9% 6.8% 7.6% BUY 0%
SPGP US:GARP 21% 45% 44% 43% 9 9 6.4% 7.0% 7.6% BUY 58 4.6% 11%
RYT US:Tec 20% 36% 41% 47% 10 10 5.5% 6.1% 6.8% BUY 0 0%
IGV NA:Soft 14% 28% 41% 55% 11 11 4.8% 5.4% 5.9% BUY 0%
IWY US:LCG 20% 33% 40% 47% 12 12 5.2% 6.1% 6.8% BUY 0%
MOAT US:Qua 20% 41% 40% 37% 13 13 6.1% 6.6% 7.0% HTD 30 2.0% 11%
MGK US:LCG 21% 31% 37% 45% 14 14 4.9% 5.7% 6.5% BUY 0%
IHI US:MD 21% 22% 30% 44% 15 15 4.0% 4.8% 5.1% BUY 0%
ICLN GL:CE 21% 15% 20% 45% 16 16 2.6% 4.5% 5.5% Sell 0%
XAR US:A&D 25% 14% 16% 29% 20 17 2.9% 2.7% 2.9% Sell 0%
XMMO US:Mo 13% 15% 19% 25% 18 18 2.3% 2.8% 3.0% Sell 0%
XHB US:HB 24% 28% 19% 6% 17 19 4.0% 4.0% 4.0% Sell 0%
ITB US:HB 33% 31% 18% 2% 19 20 4.7% 4.6% 4.4% Sell 0%
Print the post Back To Top
No. of Recommendations: 2
Quant Asset Rotation & Allocation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Selection : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
17-Jan-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | Bullish 1.8% | Bullish 8.6% | Bullish 0 | 3 20.0% Risk On
SP400 (MDY) Daily | Bullish 3.3% | Bullish 7.7% | Bullish 0 | 3 20.0% Risk On
SP500EW (RSP) Daily | Bullish 5.4% | Bullish 9.2% | Bullish 0 | 3 20.0% Risk On
SP3200 (ITOT) Daily | Bullish 6.4% | Bullish 10.7% | Bullish 0 | 3 20.0% Risk On
SP500 (.SPx) Daily | Bullish 191.74 | Bullish 11.4% | Bullish 0 | 3 20.0% Risk On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 5 5 5 15 100.0% Risk On

    Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy   Sold*  Bot   ROI   YTD   TR1y   TR3y
1- RS(4,5),RS(5,6) 95% 276 1 - - - - 6.3% 2.4% 14% 10%
2- RS(3,4),RS(4,5) 72% 224 3 - - - - 7.8% 2.4% 14% 10%
3- RS(4),RS(3,4,5),PO(42/126) 51% 46 1 - EUSA - - 8.8% 4.1% 14% 7%
4- RS(4),RS(4,5,6),PO(42/126) 95% 116 2 ACWV - - - 9.4% 4.1% 14% 7%
5- RS(4),RS(4,5,6),PO(40/120) 94% 325 2 - - - - 12.7% 2.5% 18% 5%
6- RS(4),RS(3,4,5),PO(30/120) 76% 34 7 - QTEC ITB XBI 10.1% 3.5% 10% 16%
Cash Allocation 0% 74 0 --- --- --- --- --- --- --- ---
Portfolio Totals = 86% 121 19 - - - - 9.1% 3.3% 14.8% 9.2%
BenchMark (60/40) = N/A B&H 7 - - - - - 4.7% 16.3% 8.5%

1-QTAA      BM       12m     6m      5m      4m   (4,5)  (5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FXAIX
SP:500 15% 23% 29% 34% 31.4% 1 4.6% 5.3% 5.9% BUY 0%
FSPSX MSCI:EAFE 10% 19% 23% 19% 21.0% 2 3.2% 3.3% 3.3% HTD 0%
FFNOX AA:GL 13% 19% 23% 24% 23.5% 3 3.6% 4.0% 4.2% HTD 276 6.3% 95%
FSMAX DJ:CTSM 7% 16% 22% 26% 24.1% 4 3.5% 3.6% 3.6% HTD 0%
FUAMX BB:ITT 7% -2% -5% -4% -4.4% 5 -0.5% -0.7% -0.7% Sell 0%

2-QTAA  Asset     12m     5m      4m     3m   (3,4)  (4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOA
GL:Agr 10% 23% 25% 24% 24.4% 1 3.5% 4.1% 4.5% BUY 79 6.4% 22%
AOR GL:Gro 9% 16% 18% 18% 18.1% 2 2.6% 3.0% 3.3% BUY 295 9.1% 25%
COMT GL:Com -2% 14% 13% 11% 12.4% 3 2.0% 2.4% 2.6% BUY 0%
AOM GL:Mod 8% 10% 12% 12% 12.0% 4 1.7% 1.9% 2.1% HTD 298 7.6% 25%
IYLD GL:Inc 4% 10% 11% 13% 12.3% 5 1.5% 1.9% 2.3% Sell 0%
AOK GL:Con 8% 7% 9% 10% 9.3% 6 1.2% 1.4% 1.6% Sell 0%

3-QAR   Asset     12m     5m      4m     3m   (4)  (3,4,5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QQEW
GL:EW 16% 36% 45% 46% 1 1 3.7% 5.5% 6.6% BUY 46 8.8% 51%
EUSA US:EW 12% 28% 32% 31% 2 2 3.0% 4.3% 4.9% BUY 0%
IEFA DM:BMC 8% 28% 27% 18% 3 3 3.4% 4.1% 4.6% HTD 0%
FUTY US:Ut 16% 4% 0% 9% 4 4 0.8% 1.1% 1.6% Sell 0%
FREL US:RE 13% 0% -3% -5% 5 5 0.6% 0.3% 0.2% Sell 0%
TLT US:LTT 18% -14% -11% -3% 6 6 -1.1% -1.0% -1.4% Sell 0%

4-QAR   Asset     12m     6m      5m      4m   (4)  (4,5,6)  PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QUAL
US:Qua 17% 27% 34% 40% 1 1 3.6% 5.3% 6.2% BUY 0 0%
FDLO US:LV 18% 17% 20% 25% 3 2 2.1% 3.4% 3.9% HTD 291 16.9% 46%
MTUM US:Mo 16% 12% 17% 27% 2 3 1.4% 2.9% 3.5% BUY 0%
USMV US:MV 17% 9% 9% 13% 4 4 1.0% 1.8% 2.2% Sell 0%
EFAV DM:MV 7% 11% 11% 7% 6 5 1.7% 1.7% 1.5% Sell 0%
EEMV EM:MV -2% 7% 9% 8% 5 6 1.1% 0.9% 1.2% Sell 0%
ACWV GL:MV 12% 9% 8% 7% 7 7 1.1% 1.4% 1.5% Sell 57 3.2% 49%
FBND US:TB 6% 1% 0% 1% 8 8 0.0% 0.2% 0.2% Sell 0%

5-QAR    Asset     12m     6m      5m      4m   (4)  (4,5,6)  PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 50/120 40/120 30/120 Status: HTD(31) (%) (N)
IEUR
EUR:BMC 7% 26% 31% 33% 2 1 4.2% 4.7% 5.1% BUY 0%
ITOT USA:BMC 14% 23% 29% 36% 1 2 4.0% 4.7% 5.0% BUY 303 16.7% 49%
ILF LA:LCV -5% 14% 25% 23% 3 3 2.4% 2.9% 3.7% HTD 0%
IPAC PAC:BMC 8% 21% 23% 17% 4 4 3.3% 3.3% 3.3% HTD 0%
AOK GL:Con 8% 7% 7% 9% 5 5 1.0% 1.2% 1.3% HTD 346 8.6% 46%
SHY US:STT 2% 0% -1% -1% 6 6 -0.1% -0.1% -0.1% NA 0%

6-QAR    Asset     12m     5m      4m     3m   (4)  (3,4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
XBI
US:Bio 3% 59% 86% 88% 1 1 10.4% 11.6% 11.9% HTD 18 1.4% 6%
SMH US:SC 35% 63% 68% 62% 2 2 9.7% 11.5% 12.7% BUY 86 20.7% 16%
XSD US:SC 35% 53% 66% 73% 3 3 8.1% 10.2% 11.9% BUY 46 15.1% 12%
QTEC GL:Tec 23% 47% 57% 63% 5 4 7.4% 9.0% 10.3% BUY 0 0%
XLK US:Tec 28% 47% 57% 61% 4 5 7.4% 8.7% 9.9% BUY 0%
IXN GL:Tec 27% 49% 56% 59% 6 6 7.6% 9.0% 10.1% BUY 46 11.5% 12%
QQQ GL:LCB 21% 41% 51% 53% 7 7 6.4% 7.7% 8.7% BUY 0%
IGV NA:Soft 14% 33% 48% 63% 9 8 5.7% 6.4% 7.5% BUY 0%
RDVY US:Div 19% 47% 49% 41% 8 9 7.0% 8.0% 8.7% HTD 11 3.2% 6%
RYT US:Tec 20% 38% 47% 48% 11 10 6.0% 7.0% 7.9% BUY 0 0%
IWY US:LCG 20% 36% 46% 51% 12 11 5.8% 6.9% 7.8% BUY 0%
SPGP US:GARP 21% 44% 47% 38% 10 12 6.6% 7.4% 8.1% BUY 65 6.5% 12%
MGK US:LCG 21% 34% 44% 50% 13 13 5.5% 6.6% 7.6% BUY 0%
MOAT US:Qua 20% 40% 41% 32% 14 14 6.1% 6.7% 7.0% BUY 37 3.3% 11%
ICLN GL:CE 21% 20% 31% 60% 16 15 3.8% 5.7% 6.9% HTD 0%
IHI US:MD 20% 25% 36% 45% 15 16 4.5% 5.2% 5.7% Sell 0%
XAR US:A&D 24% 16% 25% 32% 17 17 2.9% 3.2% 3.6% Sell 0%
XMMO US:Mo 12% 17% 23% 28% 18 18 2.9% 3.3% 3.7% Sell 0%
XHB US:HB 24% 26% 20% 7% 19 19 3.8% 4.0% 4.1% Sell 0%
ITB US:HB 33% 28% 18% 5% 20 20 4.3% 4.3% 4.1% Sell 0%
Print the post Back To Top
No. of Recommendations: 2
Quant Asset Rotation & Allocation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Selection : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
24-Jan-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | Bullish 1.9% | Bullish 6.2% | Bullish 5 | 3 20.0% Risk_On
SP400 (MDY) Daily | Bullish 3.0% | Bullish 6.1% | Bullish 5 | 3 20.0% Risk_On
SP500EW (RSP) Daily | Bullish 5.6% | Bullish 7.7% | Bullish 5 | 3 20.0% Risk_On
SP3200 (ITOT) Daily | Bullish 6.6% | Bullish 9.6% | Bullish 1 | 3 20.0% Risk_On
SP500 (.SPx) Daily | Bullish 199.87 | Bullish 10.3% | Bullish 1 | 3 20.0% Risk_On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 5 5 5 15 100.0% Risk_On


    Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy   Sold*  Bot   ROI   YTD   TR1y   TR3y
1- RS(4,5),RS(5,6) 95% 283 1 - - - - 6.3% 1.7% 13% 10%
2- RS(3,4),RS(4,5) 79% 231 3 AOM - - - 6.2% 1.7% 13% 10%
3- RS(4),RS(3,4,5),PO(42/126) 51% 53 1 - EUSA - - 7.8% 3.6% 13% 7%
4- RS(4),RS(4,5,6),PO(42/126) 95% 121 2 ACWV - - - 9.3% 3.6% 13% 7%
5- RS(4),RS(4,5,6),PO(40/120) 94% 332 2 - - - - 12.0% 1.8% 16% 5%
6- RS(4),RS(3,4,5),PO(30/120) 75% 40 7 MOAT QTEC ITB XBI 8.9% 2.5% 9% 16%
Cash Allocation 0% 81 0 --- --- --- --- --- --- --- ---
Portfolio Totals = 87% 127 19 - - - - 8.0% 2.7% 13.9% 9.0%
BenchMark (60/40) = N/A B&H 7 - - - - - 2.1% 15.3% 8.3%

1-QTAA      BM       12m     6m      5m      4m   (4,5)  (5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FXAIX
SP:500 16% 26% 30% 37% 33.7% 1 4.9% 5.7% 6.3% BUY 0%
FFNOX AA:GL 13% 20% 23% 25% 23.9% 2 3.7% 4.0% 4.1% HTD 283 6.3% 95%
FSPSX MSCI:EAFE 9% 21% 21% 19% 20.0% 3 3.2% 3.2% 3.2% HTD 0%
FSMAX DJ:CTSM 7% 18% 23% 29% 26.0% 4 3.7% 3.8% 4.1% HTD 0%
FUAMX BB:ITT 7% -2% -4% -4% -4.0% 5 -0.6% -0.6% -0.6% Sell 0%

2-QTAA  Asset     12m     5m      4m     3m   (3,4)  (4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOA
GL:Agr 10% 22% 26% 23% 24.4% 1 3.6% 4.3% 4.5% BUY 86 5.2% 21%
AOR GL:Gro 9% 16% 19% 17% 18.2% 2 2.7% 3.1% 3.3% BUY 302 6.2% 33%
COMT GL:Com -2% 12% 13% 6% 9.5% 3 2.0% 2.3% 2.3% HTD 0%
IYLD GL:Inc 4% 10% 13% 15% 13.7% 4 1.7% 2.2% 2.3% BUY 0%
AOM GL:Mod 8% 10% 13% 12% 12.5% 5 1.7% 2.0% 2.1% Sell 305 7.3% 24%
AOK GL:Con 8% 8% 10% 10% 9.9% 6 1.3% 1.6% 1.7% Sell 0%

3-QAR   Asset     12m     5m      4m     3m   (4)  (3,4,5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QQEW
GL:EW 16% 38% 48% 46% 1 1 4.2% 6.0% 7.3% BUY 53 7.8% 51%
EUSA US:EW 12% 28% 34% 30% 2 2 3.3% 4.5% 5.2% BUY 0%
IEFA DM:BMC 8% 26% 26% 16% 3 3 3.5% 4.2% 4.6% HTD 0%
FUTY US:Ut 16% 5% 6% 19% 4 4 0.8% 1.4% 2.1% Sell 0%
FREL US:RE 12% 0% -1% 3% 5 5 0.4% 0.3% 0.4% Sell 0%
TLT US:LTT 18% -11% -9% 1% 6 6 -1.2% -1.1% -1.4% Sell 0%

4-QAR   Asset     12m     6m      5m      4m   (4)  (4,5,6)  PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QUAL
US:Qua 17% 30% 35% 42% 1 1 3.9% 5.6% 6.6% BUY 0 0%
FDLO US:LV 18% 19% 21% 28% 3 2 2.4% 3.6% 4.3% HTD 298 16.7% 46%
MTUM US:Mo 16% 15% 20% 32% 2 3 1.9% 3.4% 4.1% BUY 0%
USMV US:MV 17% 11% 11% 17% 4 4 1.1% 2.1% 2.6% Sell 0%
EFAV DM:MV 7% 12% 10% 7% 7 5 1.6% 1.6% 1.5% Sell 0%
ACWV GL:MV 12% 10% 8% 9% 5 6 1.1% 1.5% 1.7% Sell 64 3.3% 49%
EEMV EM:MV -2% 8% 8% 7% 6 7 1.2% 0.9% 1.4% Sell 0%
FBND US:TB 6% 1% 1% 2% 8 8 0.0% 0.2% 0.3% Sell 0%

5-QAR    Asset     12m     6m      5m      4m   (4)  (4,5,6)  PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 50/120 40/120 30/120 Status: HTD(31) (%) (N)
ITOT
USA:BMC 14% 26% 30% 38% 1 1 4.3% 4.9% 5.4% BUY 310 15.4% 49%
IEUR EUR:BMC 7% 28% 30% 33% 2 2 4.2% 4.7% 5.2% BUY 0%
ILF LA:LCV -5% 17% 23% 21% 3 3 2.4% 3.2% 4.1% HTD 0%
IPAC PAC:BMC 8% 22% 20% 16% 4 4 3.0% 3.1% 3.1% HTD 0%
AOK GL:Con 8% 7% 8% 10% 5 5 1.1% 1.3% 1.4% HTD 353 8.6% 46%
SHY US:STT 1% -1% -1% -1% 6 6 -0.1% -0.1% -0.1% NA 0%

6-QAR    Asset     12m     5m      4m     3m   (4)  (3,4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
XBI
US:Bio 4% 61% 86% 74% 1 1 10.6% 11.1% 11.0% HTD 25 -4.4% 6%
XSD US:SC 35% 56% 72% 71% 2 2 8.8% 11.3% 12.5% BUY 53 14.1% 12%
SMH US:SC 35% 63% 69% 59% 3 3 10.0% 12.1% 12.7% BUY 93 22.0% 17%
QTEC GL:Tec 23% 49% 61% 63% 4 4 7.9% 9.9% 10.9% BUY 0 0%
XLK US:Tec 28% 50% 61% 61% 5 5 7.9% 9.6% 10.7% BUY 0%
IXN GL:Tec 27% 51% 59% 59% 6 6 8.1% 9.7% 10.6% BUY 53 11.6% 12%
IGV NA:Soft 14% 38% 54% 62% 7 7 6.2% 7.4% 8.6% BUY 0%
QQQ GL:LCB 21% 44% 54% 53% 8 8 6.9% 8.4% 9.3% BUY 0%
IWY US:LCG 20% 39% 50% 52% 10 9 6.2% 7.5% 8.4% BUY 0%
RYT US:Tec 19% 40% 50% 48% 9 10 6.4% 7.7% 8.4% BUY 0 0%
MGK US:LCG 21% 37% 48% 52% 12 11 6.0% 7.3% 8.3% BUY 0%
ICLN GL:CE 21% 25% 41% 71% 16 12 4.9% 6.7% 7.7% HTD 0%
RDVY US:Div 19% 45% 49% 36% 11 13 7.1% 8.1% 8.5% HTD 18 0.5% 6%
SPGP US:GARP 21% 43% 47% 33% 13 14 6.7% 7.6% 8.0% BUY 72 4.8% 11%
IHI US:MD 21% 27% 41% 45% 15 15 4.9% 5.6% 6.1% BUY 0%
MOAT US:Qua 20% 39% 41% 27% 14 16 6.1% 6.6% 6.8% Sell 44 1.7% 11%
XMMO US:Mo 12% 20% 27% 31% 18 17 3.2% 3.8% 4.3% Sell 0%
XAR US:A&D 23% 17% 30% 30% 17 18 3.0% 3.6% 4.1% Sell 0%
ITB US:HB 33% 29% 20% 16% 20 19 4.4% 4.4% 4.7% Sell 0%
XHB US:HB 23% 26% 21% 13% 19 20 3.9% 4.2% 4.5% Sell 0%
Print the post Back To Top
No. of Recommendations: 1
Quant Asset Rotation & Allocation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Selection : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
31-Jan-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | Bullish 0.6% | Bullish 2.5% | Bullish 10 | 3 20.0% Risk_On
SP400 (MDY) Daily | Bullish 2.3% | Bullish 3.2% | Bullish 10 | 3 20.0% Risk_On
SP500EW (RSP) Daily | Bullish 5.3% | Bullish 4.7% | Bullish 10 | 3 20.0% Risk_On
SP3200 (ITOT) Daily | Bullish 6.8% | Bullish 7.2% | Bullish 6 | 3 20.0% Risk_On
SP500 (.SPx) Daily | Bullish 196.13 | Bullish 7.8% | Bullish 6 | 3 20.0% Risk_On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 5 5 5 15 100.0% Risk_On

    Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot    ROI    YTD   TR1y   TR3y
1- RS2(4,5),RS1(5,6) 96% 290 1 - - - - 5.2% -0.3% 10% 9%
2- RS2(3,4),RS1(4,5) 88% 238 3 - - - - 4.2% -0.3% 10% 9%
3- RS2(3,4),RS1(5),PO(42/126) 96% 30 2 - - - - 2.5% 0.9% 10% 7%
4- RS2(4,5),RS1(6),PO(42/126) 94% 155 2 - - ACWV QUAL 6.0% 0.9% 10% 7%
5- RS2(3,4),RS1(5),PO(40/120) 95% 339 2 - - - - 10.6% 0.3% 14% 4%
6- RS2(3,4),RS1(5),PO(30/120) 79% 45 8 - IWY ITB RDVY 3.6% -1.7% 5% 15%
Cash Allocation 0% 88 0 --- --- --- --- --- --- --- ---
Portfolio Totals = 92% 129 21 - - - - 4.2% 0.6% 11.4% 8.4%
BenchMark (60/40) = N/A B&H 7 - - - - - -3.2% 11.9% 7.7%

1-QTAA      BM       12m     6m      5m      4m   (4,5)  (5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FXAIX
SP:500 15% 28% 30% 37% 33% 1 4.9% 5.7% 6.2% BUY 0%
FSMAX DJ:CTSM 6% 20% 22% 28% 25% 2 3.4% 3.7% 4.0% HTD 0%
FFNOX AA:GL 12% 21% 21% 23% 22% 3 3.4% 3.7% 3.6% HTD 290 5.2% 96%
FSPSX MSCI:EAFE 9% 21% 17% 16% 16% 4 2.7% 2.7% 2.8% HTD 0%
FUAMX BB:ITT 7% -3% -2% -2% -2% 5 -0.5% -0.4% -0.2% Sell 0%

2-QTAA  Asset     12m     5m      4m     3m   (3,4)  (4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOA
GL:Agr 10% 21% 24% 18% 21% 1 3.5% 3.9% 4.0% BUY 93 1.9% 31%
AOR GL:Gro 9% 15% 18% 14% 16% 2 2.6% 2.9% 3.0% BUY 309 4.8% 33%
IYLD GL:Inc 4% 10% 13% 15% 14% 3 1.8% 2.2% 2.3% BUY 0%
AOM GL:Mod 8% 10% 13% 11% 12% 4 1.7% 1.9% 2.0% HTD 312 6.4% 25%
AOK GL:Con 8% 8% 10% 10% 10% 5 1.3% 1.6% 1.7% Sell 0%
COMT GL:Com -3% 6% 6% -6% 0% 6 1.5% 1.3% 1.0% Sell 0%

3-QAR   Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QQEW
GL:EW 16% 37% 46% 42% 1 1 4.5% 6.2% 7.6% BUY 60 4.7% 50%
EUSA US:EW 12% 26% 33% 25% 2 2 3.5% 4.5% 5.3% BUY 0 0.1% 46%
IEFA DM:BMC 8% 22% 22% 10% 4 3 3.4% 3.9% 4.2% HTD 0%
FUTY US:Ut 16% 8% 14% 32% 3 4 0.8% 1.9% 2.9% Sell 0%
FREL US:RE 12% 1% 2% 11% 5 5 0.2% 0.4% 0.8% Sell 0%
TLT US:LTT 18% -6% -3% 9% 6 6 -1.2% -1.1% -1.1% Sell 0%

4-QAR   Asset     12m     6m      5m      4m   (4,5)   (6)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QUAL
US:Qua 16% 32% 34% 41% 1 1 4.2% 5.7% 6.6% HTD 4 -1.1% 49%
FDLO US:LV 17% 21% 22% 30% 3 2 2.6% 3.8% 4.6% HTD 305 14.7% 46%
MTUM US:Mo 16% 19% 24% 36% 2 3 2.4% 3.8% 4.8% BUY 0%
USMV US:MV 16% 12% 13% 20% 4 4 1.3% 2.3% 3.0% Sell 0%
EFAV DM:MV 7% 11% 8% 6% 6 5 1.5% 1.3% 1.2% Sell 0%
ACWV GL:MV 12% 10% 8% 10% 5 6 1.1% 1.5% 1.8% Sell 0%
EEMV EM:MV -2% 7% 4% 2% 7 7 1.0% 0.8% 1.1% Sell 0%
FBND US:TB 6% 1% 2% 3% 8 8 0.1% 0.3% 0.4% Sell 0%

5-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 50/120 40/120 30/120 Status: HTD(31) (%) (N)
ITOT
USA:BMC 14% 30% 37% 31% 1 1 4.2% 4.9% 5.4% BUY 317 13.0% 48%
IEUR EUR:BMC 7% 27% 29% 19% 2 2 4.0% 4.5% 4.9% BUY 0%
ILF LA:LCV -5% 16% 15% 10% 3 3 2.4% 3.4% 3.8% HTD 0%
IPAC PAC:BMC 8% 15% 12% -3% 5 4 2.5% 2.6% 2.4% HTD 0%
AOK GL:Con 8% 8% 10% 10% 4 5 1.1% 1.3% 1.5% HTD 360 8.1% 46%
SHY US:STT 1% 0% 0% 1% 6 6 -0.1% -0.1% -0.1% NA 0%

6-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
XBI
US:Bio 4% 59% 75% 51% 1 1 9.9% 9.7% 9.0% BUY 32 -6.1% 6%
SMH US:SC 35% 59% 63% 50% 5 2 9.8% 11.2% 11.5% BUY 100 13.7% 16%
XSD US:SC 34% 54% 69% 58% 2 3 9.1% 11.0% 11.5% BUY 60 5.6% 12%
IXN GL:Tec 27% 51% 59% 56% 4 4 8.3% 9.8% 10.7% BUY 60 8.2% 11%
QTEC GL:Tec 23% 48% 60% 58% 3 5 8.1% 9.9% 10.5% BUY 0 -0.3% 6%
RDVY US:Div 19% 40% 43% 25% 12 6 6.7% 7.3% 7.3% HTD 25 -3.1% 6%
IWY US:LCG 20% 40% 50% 50% 6 7 6.4% 7.8% 8.5% BUY 0%
RYT US:Tec 19% 39% 49% 42% 7 8 6.4% 7.7% 8.1% BUY 0 0%
SPGP US:GARP 21% 38% 43% 26% 13 9 6.4% 7.0% 7.1% BUY 79 0.9% 11%
XT GL:Tec 14% 38% 43% 35% 8 10 6.1% 6.9% 7.2% BUY 0%
MOAT US:Qua 20% 34% 36% 19% 18 11 5.6% 5.9% 6.0% HTD 51 -0.6% 11%
ESGU US:ESG 17% 33% 41% 35% 9 12 5.5% 6.4% 6.8% BUY 0%
SPHQ US:Qua 16% 32% 40% 36% 10 13 5.4% 6.3% 6.6% BUY 0%
IWP US:MCG 15% 30% 39% 37% 11 14 4.6% 5.5% 6.0% BUY 0%
TDIV GL:TDiv 16% 29% 36% 31% 14 15 4.9% 6.0% 6.5% BUY 0%
QUS US:SF 17% 26% 32% 28% 16 16 4.4% 5.0% 5.3% Sell 0%
XHB US:HB 23% 25% 22% 20% 20 17 3.8% 4.3% 4.9% Sell 0%
XMMO US:Mo 11% 21% 29% 32% 15 18 3.4% 4.2% 4.7% Sell 0%
XAR US:A&D 23% 19% 33% 25% 17 19 3.1% 3.8% 4.7% Sell 0%
LGLV US:LV 18% 14% 21% 24% 19 20 2.4% 2.9% 3.3% Sell 0%
Print the post Back To Top
No. of Recommendations: 2
Quant Asset Rotation & Allocation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Selection : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
7-Feb-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | Bullish -0.8% | Bullish 4.4% | Bullish 14 | 3 20.0% Risk_On
SP400 (MDY) Daily | Bullish 1.6% | Bullish 4.9% | Bullish 14 | 3 20.0% Risk_On
SP500EW (RSP) Daily | Bullish 5.0% | Bullish 7.0% | Bullish 14 | 3 20.0% Risk_On
SP3200 (ITOT) Daily | Bullish 6.9% | Bullish 9.8% | Bullish 1 | 3 20.0% Risk_On
SP500 (.SPx) Daily | Bullish 200.45 | Bullish 10.4% | Bullish 1 | 3 20.0% Risk_On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 5 5 5 15 100.0% Risk_On

    Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot    ROI   YTD   TR1y   TR3y
1- RS2(4,5),RS1(5,6) 96% 297 1 - - - - 6.7% 2.2% 12% 10%
2- RS2(3,4),RS1(4,5) 89% 245 3 - - - - 6.0% 2.2% 12% 10%
3- RS2(3,4),RS1(5),PO(42/126) 98% 37 2 - - - EUSA 5.9% 6.1% 15% 7%
4- RS2(4,5),RS1(6),PO(42/126) 96% 162 2 - - ACWV QUAL 9.1% 6.1% 15% 7%
5- RS2(3,4),RS1(5),PO(40/120) 95% 346 2 - - - - 12.7% 2.5% 16% 5%
6- RS2(3,4),RS1(5),PO(30/120) 82% 46 8 - IWY ITB QTEC 8.0% 2.3% 9% 15%
Cash Allocation 0% 95 0 --- --- --- --- --- --- --- ---
Portfolio Totals = 93% 129 21 - - - - 7.6% 3.5% 14.1% 9.1%
BenchMark (60/40) = N/A B&H 7 - - - - - 1.4% 13.5% 8.1%

1-QTAA      BM       12m     6m      5m      4m   (4,5)  (5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FXAIX
SP:500 16% 29% 30% 35% 33% 1 4.9% 5.6% 6.0% BUY 0%
FSMAX DJ:CTSM 7% 21% 21% 25% 23% 2 3.3% 3.7% 4.0% HTD 0%
FFNOX AA:GL 12% 21% 20% 20% 20% 3 3.2% 3.2% 3.2% HTD 297 6.7% 96%
FSPSX MSCI:EAFE 9% 19% 14% 9% 12% 4 2.3% 2.3% 2.2% HTD 0%
FUAMX BB:ITT 7% -2% -1% 1% 0% 5 -0.3% -0.1% 0.2% Sell 0%
FNBGX BB:LTT 17%
FSRNX DJ:RE 6%
FXNAX BB:AB 6%
StDev = 0.04 0.12 0.11 0.13 0.12 0.02 0.02 0.02 Calc = 297 6.7% 96%

2-QTAA  Asset     12m     5m      4m     3m   (3,4)  (4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOA
GL:Agr 10% 20% 21% 17% 19% 1 3.4% 3.6% 3.8% BUY 100 4.2% 31%
AOR GL:Gro 9% 15% 17% 14% 15% 2 2.6% 2.7% 2.9% BUY 316 6.5% 33%
IYLD GL:Inc 4% 11% 13% 15% 14% 3 1.9% 2.1% 2.2% BUY 0%
AOM GL:Mod 8% 11% 12% 11% 12% 4 1.7% 1.9% 2.0% HTD 319 7.8% 25%
AOK GL:Con 7% 9% 10% 10% 10% 5 1.4% 1.6% 1.7% Sell 0%
COMT GL:Com -4% 0% -5% -19% -12% 6 0.6% 0.0% -0.9% Sell 0%

3-QAR   Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QQEW
GL:EW 17% 39% 44% 43% 1 1 4.6% 6.5% 7.6% BUY 67 8.9% 51%
EUSA US:EW 12% 26% 29% 23% 3 2 3.5% 4.6% 5.1% HTD 7 2.7% 46%
IEFA DM:BMC 8% 20% 16% 8% 4 3 3.1% 3.7% 3.8% HTD 0%
FUTY US:Ut 16% 12% 21% 41% 2 4 0.9% 2.4% 3.4% Sell 0%
FREL US:RE 12% 3% 4% 18% 5 5 0.1% 0.5% 1.2% Sell 0%
TLT US:LTT 18% -1% 5% 15% 6 6 -1.1% -0.9% -0.4% Sell 0%

4-QAR   Asset     12m     6m      5m      4m   (4,5)   (6)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QUAL
US:Qua 16% 32% 34% 37% 1 1 4.2% 5.7% 6.5% HTD 11 2.3% 50%
FDLO US:LV 17% 21% 24% 29% 3 2 2.7% 4.0% 4.7% HTD 312 17.4% 46%
MTUM US:Mo 16% 21% 28% 37% 2 3 2.7% 4.3% 5.4% BUY 0%
USMV US:MV 16% 13% 16% 22% 4 4 1.5% 2.6% 3.4% Sell 0%
EFAV DM:MV 7% 10% 7% 3% 6 5 1.3% 1.2% 1.2% Sell 0%
ACWV GL:MV 12% 10% 9% 11% 5 6 1.1% 1.6% 2.0% Sell 0%
EEMV EM:MV -2% 5% 1% -3% 8 7 0.6% 0.6% 0.6% Sell 0%
FBND US:TB 6% 1% 3% 4% 7 8 0.1% 0.4% 0.6% Sell 0%

5-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 50/120 40/120 30/120 Status: HTD(31) (%) (N)
ITOT
USA:BMC 14% 30% 34% 30% 1 1 4.3% 5.0% 5.4% BUY 324 16.5% 49%
IEUR EUR:BMC 7% 25% 22% 16% 2 2 3.7% 4.3% 4.4% BUY 0%
IPAC PAC:BMC 8% 12% 6% -5% 6 3 2.1% 2.0% 1.8% HTD 0%
ILF LA:LCV -4% 11% 6% 8% 4 4 2.2% 3.0% 2.9% HTD 0%
AOK GL:Con 7% 9% 10% 10% 3 5 1.1% 1.4% 1.5% HTD 367 8.8% 46%
SHY US:STT 1% 0% 0% 1% 5 6 -0.1% 0.0% 0.0% NA 0%

6-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:CL RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
XBI
US:Bio 5% 59% 66% 36% 5 1 9.2% 8.6% 8.3% BUY 39 0.4% 6%
SMH US:SC 35% 57% 56% 46% 4 2 9.8% 10.3% 10.5% BUY 107 18.6% 16%
IXN GL:Tec 28% 54% 58% 58% 1 3 8.7% 10.1% 11.0% BUY 67 13.3% 12%
XSD US:SC 34% 53% 62% 52% 3 4 9.3% 10.3% 10.5% BUY 67 9.4% 12%
QTEC GL:Tec 24% 50% 58% 57% 2 5 8.5% 9.8% 10.4% HTD 7 4.2% 7%
IWY US:LCG 21% 43% 50% 51% 6 6 6.9% 8.2% 8.9% BUY 0 0%
RYT US:Tec 19% 41% 46% 40% 7 7 6.6% 7.5% 8.1% BUY 0 0%
XT GL:Tec 15% 38% 40% 33% 9 8 6.1% 6.7% 7.0% BUY 0%
RDVY US:Div 19% 37% 35% 20% 17 9 6.3% 6.4% 6.4% HTD 32 0.7% 6%
SPGP US:GARP 20% 36% 35% 21% 15 10 6.0% 6.3% 6.3% BUY 86 4.6% 11%
ESGU US:ESG 17% 34% 38% 35% 8 11 5.6% 6.4% 6.8% BUY 0%
SPHQ US:Qua 16% 33% 37% 34% 11 12 5.5% 6.0% 6.3% BUY 0%
MOAT US:Qua 20% 32% 30% 16% 19 13 5.3% 5.4% 5.5% HTD 58 2.8% 11%
IWP US:MCG 15% 32% 37% 34% 10 14 4.8% 5.7% 6.2% BUY 0%
TDIV GL:TDiv 16% 30% 35% 34% 12 15 5.2% 6.1% 6.6% BUY 0%
QUS US:SF 17% 27% 30% 27% 14 16 4.4% 4.9% 5.3% Sell 0%
XHB US:HB 23% 24% 20% 24% 20 17 3.7% 4.5% 5.3% Sell 0%
XMMO US:Mo 10% 23% 30% 33% 13 18 3.7% 4.5% 5.1% Sell 0%
XAR US:A&D 23% 21% 32% 23% 16 19 3.3% 4.3% 5.2% Sell 0%
LGLV US:LV 17% 17% 22% 26% 18 20 2.7% 3.3% 3.7% Sell 0%
Print the post Back To Top
No. of Recommendations: 2
Quant Asset Rotation & Allocation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Selection : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
14-Feb-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | Bullish -0.3% | Bullish 5.7% | Bullish 19 | 3 20.0% Risk_On
SP400 (MDY) Daily | Bullish 1.2% | Bullish 7.0% | Bullish 19 | 3 20.0% Risk_On
SP500EW (RSP) Daily | Bullish 4.9% | Bullish 8.3% | Bullish 1 | 3 20.0% Risk_On
SP3200 (ITOT) Daily | Bullish 7.1% | Bullish 11.1% | Bullish 1 | 3 20.0% Risk_On
SP500 (.SPx) Daily | Bullish 211.18 | Bullish 11.5% | Bullish 1 | 3 20.0% Risk_On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 5 5 5 15 100.0% Risk_On

    Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot    ROI   YTD   TR1y   TR3y
1- RS2(4,5),RS1(5,6) 96% 304 1 - - - - 7.4% 3.6% 13% 10%
2- RS2(3,4),RS1(4,5) 89% 252 3 - - - - 6.9% 3.6% 13% 10%
3- RS2(3,4),RS1(5),PO(42/126) 100% 44 2 - - - EUSA 8.4% 9.4% 17% 8%
4- RS2(4,5),RS1(6),PO(42/126) 96% 169 2 - - ACWV QUAL 10.6% 9.4% 17% 8%
5- RS2(3,4),RS1(5),PO(40/120) 95% 353 2 - - - - 14.0% 3.9% 18% 5%
6- RS2(3,4),RS1(5),PO(30/120) 61% 33 7 - IWY SMH QTEC 5.8% 5.0% 11% 16%
Cash Allocation 0% 102 0 --- --- --- --- --- --- --- ---
Portfolio Totals = 92% 126 20 - - - - 7.7% 5.3% 15.6% 9.4%
BenchMark (60/40) = N/A B&H 7 - - - - - 4.0% 13.5% 8.1%

1-QTAA      BM       12m     6m      5m      4m   (4,5)  (5,6)  PO(s)   PO(4)   PO(f)   Criteria
Symbol Index RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 40/120 30/120 24/120 Status:
FXAIX
SP:500 16% 30% 32% 34% 33% 1 5.1% 5.7% 6.1% BUY
FSMAX
DJ:CTSM 7% 22% 23% 22% 22% 2 3.3% 3.8% 4.2% HTD
FFNOX
AA:GL 12% 21% 20% 17% 19% 3 3.1% 3.0% 3.2% HTD
FSPSX
MSCI:EAFE 9% 18% 13% 5% 9% 4 1.9% 1.9% 1.8% HTD
FUAMX
BB:ITT 6% -2% 0% 3% 2% 5 -0.1% 0.3% 0.5% Sell

2-QTAA   Asset     12m     5m      4m     3m   (3,4)  (4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOA
GL:Agr 10% 21% 19% 17% 18% 1 3.3% 3.5% 3.7% BUY 107 5.2% 31%
AOR GL:Gro 9% 16% 16% 14% 15% 2 2.5% 2.7% 2.9% BUY 323 7.4% 33%
IYLD GL:Inc 5% 11% 13% 15% 14% 3 1.9% 2.1% 2.3% BUY 0%
AOM GL:Mod 8% 11% 12% 11% 12% 4 1.7% 2.0% 2.1% HTD 326 8.3% 25%
AOK GL:Con 7% 9% 10% 11% 10% 5 1.4% 1.7% 1.8% Sell 0%
COMT GL:Com -5% -4% -13% -28% -21% 6 -0.3% -1.4% -2.5% Sell 0%

3-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QQEW
GL:EW 18% 43% 44% 46% 1 1 4.7% 6.9% 7.8% BUY 74 12.0% 53%
EUSA US:EW 13% 28% 27% 24% 3 2 3.5% 4.6% 5.1% HTD 14 4.7% 47%
IEFA DM:BMC 8% 19% 12% 7% 6 3 2.8% 3.3% 3.3% HTD 0%
FUTY US:Util 16% 15% 27% 45% 2 4 1.3% 3.0% 4.1% Sell 0%
FREL US:RE 12% 6% 10% 23% 4 5 0.4% 1.0% 1.9% Sell 0%
TLT US:LTT 17% 0% 10% 16% 5 6 -0.6% -0.4% 0.4% Sell 0%

4-QAR    Asset     12m     6m      5m      4m   (4,5)   (6)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QUAL
US:Qua 17% 32% 36% 35% 2 1 4.3% 5.8% 6.4% HTD 18 3.6% 50%
MTUM US:Mo 16% 24% 33% 41% 1 2 3.1% 4.9% 6.1% BUY 0%
FDLO US:LV 17% 22% 27% 30% 3 3 2.9% 4.3% 5.0% HTD 319 19.3% 47%
USMV US:MV 16% 15% 19% 25% 4 4 1.8% 3.0% 3.9% Sell 0%
ACWV GL:MV 11% 10% 10% 12% 5 5 1.2% 1.7% 2.3% Sell 0%
EFAV DM:MV 6% 9% 6% 2% 7 6 1.1% 1.0% 1.2% Sell 0%
EEMV EM:MV -2% 3% 0% -7% 8 7 0.3% 0.3% 0.1% Sell 0%
FBND US:TB 6% 2% 3% 6% 6 8 0.2% 0.5% 0.7% Sell 0%

5-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 50/120 40/120 30/120 Status: HTD(31) (%) (N)
ITOT
USA:BMC 15% 33% 33% 32% 1 1 4.3% 5.1% 5.5% BUY 331 18.7% 49%
IEUR EUR:BMC 7% 25% 18% 15% 2 2 3.6% 3.9% 4.0% BUY 0%
IPAC PAC:BMC 8% 10% 2% -5% 6 3 1.7% 1.4% 1.4% HTD 0%
AOK GL:Con 7% 9% 10% 11% 3 4 1.2% 1.4% 1.6% HTD 374 9.3% 46%
ILF LA:LCV -4% 9% 0% 2% 5 5 2.1% 2.2% 1.7% HTD 0%
SHY US:STT 1% 0% 0% 1% 4 6 0.0% 0.0% 0.0% NA 0%

6-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
XBI
US:Bio 6% 62% 57% 23% 6 1 8.7% 8.1% 8.0% BUY 46 2.3% 6%
PSI US:SC 29% 56% 59% 66% 1 2 9.4% 10.4% 11.1% BUY 0 -0.6% 6%
XSD US:SCEW 34% 56% 57% 53% 3 3 9.3% 9.8% 10.0% BUY 74 13.1% 12%
QTEC GL:TEW 25% 55% 59% 61% 2 4 8.8% 10.0% 10.5% HTD 14 7.6% 7%
IWY US:LCG 22% 47% 52% 55% 4 5 7.4% 8.7% 9.4% BUY 0 0%
RYT US:TEW 20% 44% 45% 42% 5 6 6.8% 7.6% 8.2% BUY 0 0%
XT GL:TEW 16% 39% 38% 34% 9 7 6.1% 6.7% 7.1% BUY 0 0%
RDVY US:D-I 20% 38% 30% 21% 19 8 5.9% 5.9% 5.9% HTD 39 3.1% 6%
ESGU US:ESG 17% 37% 38% 37% 8 9 5.8% 6.5% 7.0% BUY 0%
SPGP US:MFac 21% 37% 29% 21% 18 10 5.7% 5.8% 5.9% HTD 93 6.4% 12%
SPHQ US:Qua 16% 35% 35% 32% 12 11 5.4% 5.9% 6.3% BUY 0%
IWP US:MCG 15% 34% 37% 33% 10 12 5.2% 6.0% 6.4% BUY 0%
TDIV GL:D-I 16% 34% 36% 41% 7 13 5.5% 6.3% 7.0% BUY 0%
GSLC US:LCB 17% 33% 34% 33% 11 14 5.2% 5.8% 6.3% BUY 0%
MOAT US:Fun 21% 33% 26% 16% 20 15 4.9% 5.1% 5.2% HTD 65 4.1% 11%
QUS US:Qua 17% 29% 29% 28% 15 16 4.5% 5.0% 5.5% Sell 0%
XMMO US:Mo 10% 26% 31% 34% 13 17 4.1% 5.0% 5.6% Sell 0%
XAR US:A&D 23% 26% 33% 29% 14 18 3.8% 5.1% 5.5% Sell 0%
XHB US:HB 23% 25% 20% 30% 17 19 3.9% 5.0% 5.9% Sell 0%
LGLV US:LV 17% 20% 25% 29% 16 20 3.1% 3.8% 4.4% Sell 0%
Print the post Back To Top
No. of Recommendations: 2
Quant Asset Allocation & Rotation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Goal : Apply a tested risk adjusted mechanical trend analysis model for Quant screen trading.
Screens : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
21-Feb-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | Bullish -0.1% | Bullish 4.9% | Bullish 24 | 3 20.0% Risk_On
SP400 (MDY) Daily | Bullish 1.5% | Bullish 6.4% | Bullish 1 | 3 20.0% Risk_On
SP500EW (RSP) Daily | Bullish 4.7% | Bullish 7.3% | Bullish 1 | 3 20.0% Risk_On
SP3200 (ITOT) Daily | Bullish 7.3% | Bullish 9.9% | Bullish 1 | 3 20.0% Risk_On
SP500 (.SPx) Daily | Bullish 215.56 | Bullish 10.1% | Bullish 1 | 3 20.0% Risk_On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 5 5 5 15 100.0% Risk_On

    Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot    ROI   YTD   TR1y   TR3y
1- RS2(4,5),RS1(5,6) 96% 311 1 - - - - 7.2% 2.8% 12% 10%
2- RS2(3,4),RS1(4,5) 89% 259 3 - - - - 6.2% 2.8% 12% 10%
3- RS2(3,4),RS1(5),PO(42/126) 99% 51 2 - - - EUSA 7.4% 7.5% 15% 8%
4- RS2(4,5),RS1(6),PO(42/126) 96% 176 2 - - ACWV QUAL 9.3% 7.5% 15% 8%
5- RS2(3,4),RS1(5),PO(40/120) 95% 360 2 - - - - 13.3% 3.2% 16% 5%
6- RS2(3,4),RS1(5),PO(30/120) 60% 35 7 - IWY SMH PSI 3.9% 3.6% 9% 16%
Cash Allocation 0% 109 0 --- --- --- --- --- --- --- ---
Portfolio Totals = 91% 126 20 - - - - 6.5% 5.0% 13.7% 9.3%
BenchMark (60/40) = N/A B&H 7 - - - - - 2.0% 12.0% 7.8%

1-QTAA      BM       12m     6m      5m      4m   (4,5)  (5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FXAIX
SP:500 16% 30% 34% 33% 34% 1 5.1% 5.8% 6.1% BUY 0%
FSMAX DJ:CTSM 8% 22% 25% 21% 23% 2 3.4% 4.0% 4.3% HTD 0%
FFNOX AA:GL 12% 20% 21% 16% 18% 3 2.8% 3.0% 3.2% HTD 311 7.2% 96%
FSPSX MSCI:EAFE 8% 16% 12% 2% 7% 4 1.6% 1.5% 1.4% HTD 0%
FUAMX BB:ITT 6% -1% 1% 4% 2% 5 0.2% 0.5% 0.7% Sell 0%

2-QTAA   Asset     12m     5m      4m     3m   (3,4)  (4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOA
GL:Agr 10% 21% 18% 16% 17% 1 3.1% 3.4% 3.4% BUY 114 4.2% 31%
AOR GL:Gro 9% 17% 15% 14% 14% 2 2.4% 2.7% 2.7% BUY 330 6.7% 33%
IYLD GL:Inc 5% 12% 13% 15% 14% 3 1.9% 2.2% 2.3% BUY 0%
AOM GL:Mod 8% 12% 12% 12% 12% 4 1.7% 2.0% 2.1% HTD 333 8.1% 25%
AOK GL:Con 7% 10% 10% 11% 11% 5 1.5% 1.7% 1.8% Sell 0%
COMT GL:Com -5% -6% -18% -32% -25% 6 -0.9% -2.3% -3.5% Sell 0%

3-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QQEW
GL:EW 18% 45% 44% 47% 1 1 4.9% 7.1% 8.0% BUY 81 10.6% 52%
EUSA US:EW 13% 30% 26% 24% 3 2 3.4% 4.6% 5.1% HTD 21 4.0% 47%
FUTY US:Util 16% 19% 32% 49% 2 3 1.6% 3.4% 4.9% BUY 0%
IEFA DM:BMC 8% 18% 9% 4% 6 4 2.6% 2.9% 2.8% Sell 0%
FREL US:RE 12% 9% 16% 31% 4 5 0.6% 1.6% 2.7% Sell 0%
TLT US:LTT 17% 3% 14% 20% 5 6 -0.3% 0.2% 1.2% Sell 0%

4-QAR    Asset     12m     6m      5m      4m   (4,5)   (6)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QUAL
US:Qua 17% 33% 37% 34% 2 1 4.3% 5.7% 6.4% HTD 25 2.3% 50%
MTUM US:Mo 17% 26% 36% 43% 1 2 3.4% 5.4% 6.8% BUY 0%
FDLO US:LV 18% 24% 29% 31% 3 3 3.0% 4.4% 5.3% HTD 326 18.0% 46%
USMV US:MV 16% 16% 22% 28% 4 4 2.0% 3.4% 4.3% Sell 0%
ACWV GL:MV 11% 11% 11% 13% 5 5 1.2% 1.9% 2.5% Sell 0%
EFAV DM:MV 6% 8% 6% 1% 7 6 1.0% 0.9% 1.2% Sell 0%
FBND US:TB 6% 2% 4% 7% 6 7 0.3% 0.6% 0.9% Sell 0%
EEMV EM:MV -2% 1% -2% -9% 8 8 0.1% 0.0% -0.5% Sell 0%

5-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 50/120 40/120 30/120 Status: HTD(31) (%) (N)
ITOT
USA:BMC 15% 35% 33% 32% 1 1 4.4% 5.1% 5.5% BUY 338 17.3% 49%
IEUR EUR:BMC 7% 24% 16% 12% 2 2 3.4% 3.6% 3.5% BUY 0%
AOK GL:Con 7% 10% 10% 11% 3 3 1.3% 1.5% 1.6% HTD 381 9.3% 46%
IPAC PAC:BMC 7% 7% -3% -10% 5 4 1.2% 0.9% 0.9% HTD 0%
ILF LA:LCV -4% 6% -6% -8% 6 5 1.7% 1.3% 0.6% HTD 0%
SHY US:STT 1% 0% 1% 2% 4 6 0.0% 0.1% 0.1% NA 0%

6-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
XBI
US:Bio 7% 65% 51% 14% 13 1 8.1% 7.9% 7.7% BUY 53 2.4% 7%
PSI US:SC 30% 58% 57% 68% 1 2 9.2% 10.3% 10.7% HTD 7 -4.3% 6%
XSD US:SCEW 35% 57% 53% 51% 4 3 8.8% 9.2% 9.0% BUY 81 10.1% 12%
QTEC GL:TEW 25% 57% 58% 61% 2 4 8.8% 9.9% 10.2% HTD 21 4.3% 7%
IWY US:LCG 22% 50% 53% 58% 3 5 7.7% 9.0% 9.6% BUY 0 0%
RYT US:TEW 20% 45% 44% 43% 5 6 6.7% 7.6% 8.0% BUY 0 0%
XT GL:TEW 16% 40% 36% 34% 9 7 6.0% 6.7% 6.8% BUY 0 0%
ESGU US:ESG 18% 39% 37% 38% 7 8 5.8% 6.6% 6.9% BUY 0 0%
RDVY US:D-I 21% 37% 26% 20% 19 9 5.4% 5.4% 5.2% HTD 46 1.5% 6%
SPGP US:MFac 21% 37% 26% 21% 18 10 5.2% 5.4% 5.4% HTD 100 5.3% 11%
IWP US:MCG 15% 37% 37% 35% 8 11 5.4% 6.2% 6.5% BUY 0%
TDIV GL:D-I 16% 36% 35% 42% 6 12 5.4% 6.3% 6.9% BUY 0%
SPHQ US:Qua 17% 35% 33% 30% 14 13 5.3% 5.8% 5.9% BUY 0%
GSLC US:LCB 17% 35% 34% 34% 10 14 5.2% 5.9% 6.3% BUY 0%
MOAT US:Fun 21% 33% 22% 16% 20 15 4.5% 4.8% 4.8% HTD 72 3.0% 11%
QUS US:Qua 18% 30% 29% 29% 16 16 4.5% 5.1% 5.5% Sell 0%
XAR US:A&D 23% 30% 32% 33% 12 17 4.1% 5.1% 5.3% Sell 0%
XMMO US:Mo 11% 29% 33% 35% 11 18 4.4% 5.3% 5.8% Sell 0%
XHB US:HB 23% 26% 23% 35% 17 19 4.0% 5.4% 6.1% Sell 0%
LGLV US:LV 17% 22% 27% 32% 15 20 3.3% 4.2% 4.7% Sell 0%
Print the post Back To Top
No. of Recommendations: 1
Quant Asset Allocation & Rotation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Goal : Apply a tested risk adjusted mechanical trend analysis model for Quant screen trading.
Screens : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
28-Feb-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | BEARish -3.5% | Bullish -8.4% | Bullish 29 | 2 13.3% Averse
SP400 (MDY) Daily | Bullish -0.4% | Bullish -7.9% | Bullish 6 | 3 20.0% Risk_On
SP500EW (RSP) Daily | Bullish 2.8% | Bullish -6.5% | Bullish 6 | 3 20.0% Risk_On
SP3200 (ITOT) Daily | Bullish 6.4% | Bullish -3.9% | Bullish 6 | 3 20.0% Risk_On
SP500 (.SPx) Daily | Bullish 166.95 | Bullish -3.8% | Bullish 6 | 3 20.0% Risk_On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 4 5 5 14 93.3% Risk_On

    Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot    ROI     YTD   TR1y  TR3y
1- RS2(4,5),RS1(5,6) 98% 318 1 - - - - -2.5% -9.1% 1% 7%
2- RS2(3,4),RS1(4,5) 94% 266 3 - - - - -0.3% -9.1% 1% 7%
3- RS2(3,4),RS1(5),PO(42/126) 99% 58 2 - - - EUSA -4.8% -12.6% -2% 4%
4- RS2(4,5),RS1(6),PO(42/126) 96% 183 2 - - - - -2.7% -12.6% -2% 4%
5- RS2(3,4),RS1(5),PO(40/120) 95% 367 2 - - - - 5.2% -5.6% 7% 2%
6- RS2(3,4),RS1(5),PO(30/120) 25% 65 3 - PSI PSI QTEC -7.0% -1.5% 4% 14%
Cash Allocation 7% 2 1 --- --- --- --- --- --- --- ---
Portfolio Totals = 91% 194 16 - - - - -2.0% -5.0% 4.1% 6.9%
BenchMark (60/40) = N/A B&H 7 - - - - - -17.2% 4.9% 5.2%

1-QTAA      BM       12m     6m      5m      4m   (4,5)  (5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FXAIX
SP:500 16% 27% 31% 25% 28% 1 4.6% 4.9% 4.7% BUY 0%
FSMAX DJ:CTSM 8% 20% 22% 14% 18% 2 3.0% 3.3% 3.2% HTD 0%
FFNOX AA:GL 12% 17% 17% 9% 13% 3 2.2% 2.3% 2.1% HTD 318 -2.5% 98%
FSPSX MSCI:EAFE 8% 11% 6% -6% 0% 4 0.8% 0.4% -0.1% HTD 0%
FUAMX BB:ITT 6% 1% 2% 7% 5% 5 0.6% 0.9% 1.2% Sell 0%

2-QTAA   Asset     12m     5m      4m     3m   (3,4)  (4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOA
GL:Agr 10% 17% 10% 3% 6% 1 2.5% 2.4% 2.0% HTD 121 -4.3% 32%
AOR GL:Gro 9% 14% 9% 5% 7% 2 2.0% 2.0% 1.8% HTD 337 0.5% 35%
IYLD GL:Inc 5% 11% 10% 8% 9% 3 1.7% 1.7% 1.6% BUY 0%
AOM GL:Mod 8% 10% 8% 6% 7% 4 1.5% 1.7% 1.6% BUY 340 3.8% 27%
AOK GL:Con 7% 9% 8% 8% 8% 5 1.4% 1.5% 1.5% Sell 0%
COMT GL:Com -6% -12% -27% -47% -37% 6 -2.1% -4.0% -5.3% Sell 0%

3-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QQEW
GL:EW 18% 40% 34% 31% 2 1 4.6% 6.3% 6.8% BUY 88 -1.0% 52%
EUSA US:EW 12% 24% 16% 8% 5 2 3.0% 3.7% 3.8% HTD 28 -8.7% 46%
FUTY US:Util 16% 20% 32% 41% 1 3 1.7% 3.5% 5.0% BUY 0%
IEFA DM:BMC 7% 10% -2% -12% 6 4 2.0% 1.8% 1.3% Sell 0%
FREL US:RE 12% 9% 16% 26% 4 6 0.6% 1.7% 2.7% Sell 0%
TLT US:LTT 18% 9% 22% 34% 3 5 0.2% 1.3% 2.6% Sell 0%

4-QAR    Asset     12m     6m      5m      4m   (4,5)   (6)   PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS126 RRS105 RRS84 RS2 *RS1* 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QUAL
US:Qua 16% 28% 30% 22% 2 1 3.9% 4.8% 5.0% BUY 32 -9.3% 49%
MTUM US:Mo 16% 25% 34% 35% 1 2 3.4% 5.2% 6.3% BUY 0%
FDLO US:LV 17% 21% 25% 23% 3 3 2.8% 3.9% 4.4% HTD 333 5.5% 46%
USMV US:MV 15% 15% 19% 23% 4 4 2.0% 3.1% 3.9% Sell 0%
ACWV GL:MV 11% 8% 9% 9% 5 5 1.0% 1.6% 2.0% Sell 0%
EFAV DM:MV 6% 4% 1% -6% 7 6 0.5% 0.4% 0.3% Sell 0%
FBND US:TB 6% 3% 5% 8% 6 7 0.4% 0.8% 1.1% Sell 0%
EEMV EM:MV -3% -3% -7% -16% 8 8 -0.4% -0.8% -1.7% Sell 0%

5-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(3)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 50/120 40/120 30/120 Status: HTD(31) (%) (N)
ITOT
USA:BMC 15% 29% 22% 16% 1 1 4.0% 4.4% 4.5% BUY 345 3.9% 47%
IEUR EUR:BMC 7% 17% 5% -5% 4 2 2.7% 2.5% 2.2% HTD 0%
AOK GL:Con 7% 9% 8% 8% 2 3 1.2% 1.4% 1.5% BUY 388 6.4% 48%
IPAC PAC:BMC 7% 0% -14% -25% 5 5 0.2% -0.1% -0.4% Sell 0%
ILF LA:LCV -5% -4% -18% -37% 6 6 0.5% -0.5% -1.6% Sell 0%
SHY US:STT 1% 1% 2% 3% 3 4 0.1% 0.2% 0.2% NA 0%

6-QAR    Asset     12m     5m      4m     3m   (3,4)   (5)   PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 RS2 *RS1* 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
XBI
US:Bio 7% 58% 36% -5% 17 1 6.7% 6.5% 6.4% HTD 60 -6.1% 7%
PSI US:SC 30% 51% 42% 42% 1 2 8.0% 8.5% 7.8% BUY 0%
QTEC GL:TEW 25% 50% 44% 39% 3 3 7.9% 8.2% 7.9% HTD 28 -6.4% 7%
XSD US:SCEW 34% 49% 34% 22% 4 4 7.3% 6.9% 5.8% BUY 0%
IWY US:LCG 22% 45% 43% 41% 2 5 7.2% 7.9% 7.9% BUY 0%
RYT US:TEW 19% 39% 31% 25% 5 6 5.9% 6.3% 5.8% BUY 0%
XT GL:TEW 16% 35% 27% 19% 10 7 5.2% 5.4% 5.2% BUY 0%
ESGU US:ESG 17% 33% 27% 21% 6 8 5.1% 5.4% 5.2% BUY 0%
IWP US:MCG 15% 32% 27% 20% 8 9 4.8% 5.2% 4.9% BUY 0%
GSLC US:LCB 17% 30% 25% 19% 11 10 4.5% 4.9% 4.7% BUY 0%
TDIV GL:D-I 16% 30% 24% 24% 7 11 4.7% 5.1% 4.8% BUY 0%
SPHQ US:Qua 16% 29% 22% 11% 16 12 4.4% 4.4% 3.9% HTD 0%
RDVY US:D-I 20% 29% 12% -1% 20 13 4.0% 3.6% 2.9% HTD 0%
SPGP US:MFac 20% 28% 12% 0% 18 14 3.9% 3.6% 3.0% HTD 107 -8.0% 11%
XMMO US:Mo 10% 26% 25% 22% 9 15 4.0% 4.6% 4.5% BUY 0%
MOAT US:Fun 21% 26% 11% 1% 19 16 3.5% 3.4% 3.0% Sell 0%
QUS US:Qua 17% 25% 20% 14% 15 17 3.8% 4.1% 3.9% Sell 0%
XAR US:A&D 22% 25% 18% 17% 14 18 3.7% 3.8% 3.5% Sell 0%
XHB US:HB 23% 20% 18% 22% 13 19 3.6% 4.5% 4.4% Sell 0%
LGLV US:LV 17% 20% 21% 20% 12 20 3.1% 3.7% 3.7% Sell 0%
Print the post Back To Top
No. of Recommendations: 1
Quant Asset Allocation & Rotation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Goal : Apply a tested risk adjusted mechanical trend analysis model for Quant screen trading.
Screens : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
6-Mar-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | BEARish -8.4% | Bullish -10.1% | Bullish 34 | 2 13.3% Averse
SP400 (MDY) Daily | BEARish -3.6% | Bullish -8.6% | Bullish 10 | 2 13.3% Averse
SP500EW (RSP) Daily | Bullish 1.0% | Bullish -6.7% | Bullish 10 | 3 20.0% Risk_On
SP3200 (ITOT) Daily | Bullish 5.2% | Bullish -3.4% | Bullish 11 | 3 20.0% Risk_On
SP500 (.SPx) Daily | Bullish 123.75 | Bullish -2.9% | Bullish 11 | 3 20.0% Risk_On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 3 5 5 13 86.7% Risk_On

  Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot   ROI     YTD   TR1y  TR3y
1- RS(4,5),RS(5,6) 107% 325 1 - - - - -1.5% -8.1% 2% 7%
2- RS(3,4),RS(4,5) 101% 273 3 AOA - - - 0.3% -8.1% 2% 7%
3- RS(3,4),RS(5),PO(42/126) 106% 65 2 EUSA - - - -4.8% -11.9% -2% 4%
4- RS(4,5),RS(6),PO(42/126) 104% 190 2 - - - - -1.4% -11.9% -2% 4%
5- RS(3,4),RS(5),PO(40/120) 95% 374 2 - - - - 5.7% -5.3% 8% 2%
6- RS(3,4),RS(5),PO(30/120) 14% 51 2 - PSI SPGP - -6.2% -1.3% 6% 14%
Cash Allocation 13% 2 2 --- --- --- --- --- --- --- ---
Portfolio Totals = 94% 209 15 - - - - -1.0% -4.5% 4.7% 7.0%
BenchMark (60/40) = N/A B&H 7 - - - - - -16.9% 6.3% 5.4%

1-QTAA      BM       12m     6m      5m      4m   RS(4,5)  RS(5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 fast slow 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FXAIX
SP:500 15% 23% 24% 15% 19% 1 3.8% 3.4% 3.2% BUY 0%
FSMAX DJ:CTSM 7% 14% 14% 3% 8% 2 2.2% 1.8% 1.6% HTD 0%
FFNOX AA:GL 11% 13% 10% 0% 5% 3 1.5% 1.1% 0.9% HTD 325 -1.5% 107%
FSPSX MSCI:EAFE 7% 4% -2% -16% -9% 5 -0.2% -1.1% -1.6% Sell 0%
FUAMX BB:ITT 6% 3% 6% 11% 9% 4 1.0% 1.6% 1.8% HTD 0%

2-QTAA   Asset     12m     5m      4m     3m   RS(3,4)  RS(4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
IYLD
GL:Inc 4% 8% 7% 0% 3% 1 1.4% 1.2% 1.0% BUY 0%
AOK GL:Con 7% 8% 7% 4% 5% 2 1.3% 1.2% 1.2% BUY 0%
AOM GL:Mod 7% 8% 6% 1% 3% 3 1.3% 1.2% 1.2% BUY 347 4.9% 29%
AOR GL:Gro 8% 10% 4% -5% 0% 4 1.5% 1.2% 1.1% HTD 344 0.8% 38%
AOA GL:Agr 9% 11% 2% -10% -4% 5 1.8% 1.2% 0.9% Sell 128 -3.9% 34%
COMT GL:Com -7% -20% -38% -63% -51% 6 -3.6% -5.7% -6.5% Sell 0%

3-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
QQEW
GL:EW 18% 33% 25% 13% 19% 1 4.4% 5.6% 5.4% HTD 95 -0.4% 57%
FUTY US:Util 16% 20% 32% 33% 33% 2 1.9% 3.7% 4.7% BUY 0%
TLT US:LTT 18% 18% 33% 52% 42% 3 0.9% 2.7% 4.4% BUY 0%
EUSA US:EW 12% 16% 4% -11% -4% 4 2.5% 2.7% 2.1% Sell 35 -9.5% 50%
FREL US:RE 11% 7% 15% 19% 17% 5 0.6% 1.7% 2.2% Sell 0%
IEFA DM:BMC 6% 1% -12% -30% -21% 6 1.4% 0.7% -0.4% Sell 0%

4-QAR    Asset     12m     6m      5m      4m   RS(4,5)  RS(6)  PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS126 RRS105 RRS84 fast slow 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
MTUM
US:Mo 16% 25% 31% 29% 30% 1 3.4% 5.1% 5.5% BUY 0%
QUAL US:Qua 15% 23% 22% 11% 16% 2 3.4% 3.9% 3.2% HTD 39 -8.9% 53%
FDLO US:LV 16% 18% 20% 15% 17% 3 2.7% 3.4% 3.3% HTD 340 7.8% 51%
USMV US:MV 15% 13% 17% 18% 17% 4 1.9% 2.9% 3.2% Sell 0%
ACWV GL:MV 10% 6% 6% 5% 5% 5 0.9% 1.3% 1.3% Sell 0%
FBND US:TB 6% 5% 7% 10% 8% 6 0.6% 1.1% 1.4% Sell 0%
EFAV DM:MV 5% 1% -4% -11% -8% 7 0.1% -0.2% -0.7% Sell 0%
EEMV EM:MV -4% -7% -13% -20% -16% 8 -0.6% -1.5% -3.0% Sell 0%

5-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD   ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 50/120 40/120 30/120 Status: HTD(31) (%) (N)
ITOT
USA:BMC 14% 22% 12% -2% 5% 1 3.4% 3.5% 3.4% BUY 352 4.1% 47%
IEUR EUR:BMC 6% 8% -5% -24% -14% 2 1.9% 1.3% 0.9% HTD 0%
AOK GL:Con 7% 8% 7% 4% 5% 3 1.1% 1.3% 1.3% BUY 395 7.3% 48%
IPAC PAC:BMC 5% -9% -25% -41% -33% 5 -0.6% -1.2% -1.9% Sell 0%
ILF LA:LCV -6% -16% -30% -69% -49% 6 -0.7% -2.4% -3.6% Sell 0%
SHY US:STT 1% 2% 3% 5% 4% 4 0.2% 0.3% 0.3% NA 0%

6-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
XBI
US:Bio 8% 49% 24% -13% 6% 1 5.8% 5.4% 6.2% BUY 67 -5.1% 7%
QTEC GL:TEW 24% 42% 31% 14% 23% 2 6.8% 6.3% 6.1% BUY 35 -7.3% 7%
PSI US:SC 30% 41% 30% 13% 22% 3 6.9% 6.2% 5.9% BUY 0%
IWY US:LCG 21% 39% 34% 24% 29% 4 6.5% 6.5% 6.6% BUY 0%
XSD US:SCEW 33% 38% 18% -9% 5% 5 5.8% 4.3% 3.7% BUY 0%
RYT US:TEW 19% 30% 18% 3% 10% 6 5.0% 4.4% 4.0% BUY 0%
XT GL:TEW 16% 28% 17% 4% 10% 7 4.4% 4.0% 4.0% BUY 0%
ESGU US:ESG 17% 26% 17% 4% 10% 8 4.3% 3.9% 3.7% BUY 0%
IWP US:MCG 14% 25% 17% 5% 11% 9 4.1% 3.7% 3.4% BUY 0%
GSLC US:LCB 16% 23% 15% 2% 9% 10 3.8% 3.4% 3.3% BUY 0%
TDIV GL:D-I 15% 22% 13% 3% 8% 11 3.9% 3.5% 3.1% BUY 0%
SPHQ US:Qua 15% 22% 11% -7% 2% 12 3.5% 2.8% 2.4% HTD 0%
XMMO US:Mo 9% 20% 17% 8% 13% 13 3.5% 3.4% 3.1% BUY 0%
QUS US:Qua 16% 18% 10% -2% 4% 14 3.1% 2.7% 2.5% BUY 0%
RDVY US:D-I 19% 17% -3% -26% -15% 15 2.6% 1.4% 1.0% HTD 0%
SPGP US:MFac 19% 16% -3% -24% -13% 16 2.6% 1.5% 1.0% Sell 0%
MOAT US:Fun 20% 16% 0% -16% -8% 17 2.5% 1.8% 1.6% Sell 0%
LGLV US:LV 16% 16% 14% 8% 11% 18 2.7% 2.8% 2.6% Sell 0%
XAR US:A&D 21% 15% 2% -7% -3% 19 2.6% 1.9% 1.3% Sell 0%
XHB US:HB 22% 14% 11% 8% 9% 20 3.1% 3.1% 2.6% Sell 0%
Print the post Back To Top
No. of Recommendations: 1
Quant Asset Allocation & Rotation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Goal : Apply a tested risk adjusted mechanical trend analysis model for Quant screen trading.
Screens : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
13-Mar-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | BEARish -15.2% | Bullish -26.4% | Bullish 39 | 2 13.3% Averse
SP400 (MDY) Daily | BEARish -11.0% | Bullish -22.8% | Bullish 15 | 2 13.3% Averse
SP500EW (RSP) Daily | BEARish -2.7% | Bullish -19.4% | Bullish 15 | 2 13.3% Averse
SP3200 (ITOT) Daily | Bullish 2.6% | Bullish -14.5% | Bullish 16 | 3 20.0% Risk_On
SP500 (.SPx) Daily | Bullish 32.67 | Bullish -13.2% | Bullish 16 | 3 20.0% Risk_On
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 2 5 5 12 80.0% Risk_On

  Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot    ROI     YTD   TR1y   TR3y
1- RS(4,5),RS(5,6) 102% 332 1 - - - - -18.0% -23.2% -11% 3%
2- RS(3,4),RS(4,5) 70% 353 2 - AOK AOA - -6.4% -23.2% -11% 3%
3- RS(3,4),RS(5),PO(42/126) 59% 102 1 - TLT EUSA - -9.2% -23.3% -12% 2%
4- RS(4,5),RS(6),PO(42/126) 109% 197 2 - - - - -10.1% -23.3% -12% 2%
5- RS(3,4),RS(5),PO(40/120) 94% 381 2 - - - - -2.9% -13.3% -1% -1%
6- RS(3,4),RS(5),PO(30/120) 14% 58 2 - EDV SPGP - -18.4% -3.0% 3% 14%
Cash Allocation 20% 1 3 --- --- --- --- --- --- --- ---
Portfolio Totals = 89% 241 13 - - - - -10.0% -12.4% -2.9% 5.1%
BenchMark (60/40) = N/A B&H 7 - - - - - -44.4% -4.1% 2.4%

1-QTAA      BM       12m     6m      5m      4m   RS(4,5)  RS(5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 fast slow 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FXAIX
SP:500 13% 15% 9% -5% 2% 1 2.1% 1.0% 0.1% HTD 0%
FUAMX BB:ITT 7% 6% 10% 16% 13% 2 1.5% 2.2% 2.6% BUY 0%
FFNOX AA:GL 9% 5% -3% -16% -9% 3 0.1% -0.8% -1.7% HTD 332 -18.0% 102%
FSMAX DJ:CTSM 5% 4% -4% -21% -12% 4 0.4% -0.9% -2.1% HTD 0%
FSPSX MSCI:EAFE 4% -6% -18% -34% -26% 5 -1.9% -3.4% -4.6% Sell 0%

2-QTAA   Asset     12m     5m      4m     3m   RS(3,4)  RS(4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOK
GL:Con 6% 3% 0% -8% -4% 1 0.7% 0.4% 0.1% BUY 0%
AOM GL:Mod 6% 2% -4% -15% -9% 2 0.6% 0.1% -0.3% BUY 354 -3.7% 31%
AOR GL:Gro 7% 0% -9% -27% -18% 3 0.4% -0.4% -1.1% HTD 351 -8.5% 40%
IYLD GL:Inc 3% -2% -8% -27% -18% 4 0.1% -0.6% -1.3% BUY 0%
AOA GL:Agr 7% -2% -15% -41% -28% 5 0.2% -1.0% -2.0% Sell 0%
COMT GL:Com -10% -37% -59% -98% -78% 6 -5.8% -8.1% -9.0% Sell 0%

3-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
TLT
US:LTT 19% 28% 41% 67% 54% 1 1.6% 4.1% 5.8% BUY 0%
QQEW GL:EW 16% 18% 6% -23% -8% 2 3.9% 4.0% 3.1% HTD 102 -9.2% 59%
FUTY US:Util 15% 14% 17% 4% 11% 3 1.7% 3.1% 2.8% BUY 0%
FREL US:RE 9% -3% -2% -10% -6% 4 0.1% 0.8% 0.3% Sell 0%
EUSA US:EW 9% -3% -21% -54% -38% 5 1.6% 0.7% -0.9% Sell 0%
IEFA DM:BMC 4% -17% -35% -68% -51% 6 0.3% -1.4% -3.2% Sell 0%

4-QAR    Asset     12m     6m      5m      4m   RS(4,5)  RS(6)  PO(s)   PO(3)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS126 RRS105 RRS84 fast slow 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
MTUM
US:Mo 14% 20% 20% 12% 16% 1 3.1% 4.0% 3.5% BUY 0%
QUAL US:Qua 13% 15% 6% -11% -2% 2 2.7% 2.1% 0.6% HTD 46 -16.3% 56%
FDLO US:LV 14% 11% 8% -3% 2% 3 2.1% 2.1% 1.1% HTD 347 -2.3% 53%
USMV US:MV 13% 8% 7% 2% 5% 4 1.5% 2.0% 1.3% Sell 0%
FBND US:TB 5% 4% 5% 6% 6% 5 0.5% 0.9% 1.1% Sell 0%
ACWV GL:MV 8% 0% -3% -9% -6% 6 0.4% 0.3% -0.5% Sell 0%
EFAV DM:MV 3% -8% -16% -27% -22% 7 -0.7% -1.5% -2.7% Sell 0%
EEMV EM:MV -5% -14% -23% -32% -27% 8 -1.1% -2.9% -4.6% Sell 0%

5-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 50/120 40/120 30/120 Status: HTD(31) (%) (N)
ITOT
USA:BMC 12% 5% -10% -40% -25% 1 2.2% 1.6% 0.9% HTD 359 -6.0% 46%
AOK GL:Con 6% 3% 0% -8% -4% 2 0.8% 0.7% 0.5% BUY 402 0.2% 49%
IEUR EUR:BMC 3% -11% -29% -66% -48% 4 0.2% -0.9% -1.9% Sell 0%
IPAC PAC:BMC 3% -25% -43% -71% -57% 5 -1.9% -3.1% -4.3% Sell 0%
ILF LA:LCV -10% -43% -64% -132% -98% 6 -3.2% -5.6% -7.5% Sell 0%
SHY US:STT 1% 3% 4% 7% 6% 3 0.3% 0.4% 0.5% NA 0%

6-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
EDV
US:DT 24% 34% 51% 88% 70% 1 5.3% 7.5% 9.2% BUY 0%
PTNQ GL:TAA 21% 30% 20% -5% 7% 2 5.6% 5.1% 4.2% BUY 0%
XBI US:Bio 7% 27% -6% -46% -26% 3 3.7% 3.3% 2.7% BUY 74 -20.7% 7%
IWY US:LCG 20% 26% 15% -10% 2% 4 4.9% 4.2% 3.2% BUY 0%
QTEC GL:TEW 22% 24% 8% -31% -12% 5 4.6% 3.3% 2.0% BUY 42 -16.0% 7%
XSD US:SCEW 30% 16% -8% -62% -35% 6 3.1% 0.8% -0.6% HTD 0%
XT GL:TEW 14% 12% -4% -32% -18% 7 2.6% 1.5% 0.6% BUY 0%
ESGU US:ESG 15% 10% -4% -33% -19% 8 2.4% 1.3% 0.1% BUY 0%
IWP US:MCG 12% 10% -6% -33% -20% 9 2.2% 1.0% -0.1% BUY 0%
GSLC US:LCB 14% 9% -6% -33% -19% 10 2.1% 1.0% -0.1% BUY 0%
SPHQ US:Qua 13% 8% -8% -40% -24% 11 1.7% 0.3% -0.9% BUY 0%
XMMO US:Mo 7% 7% -4% -27% -15% 12 1.9% 0.8% -0.3% BUY 0%
TDIV GL:D-I 13% 6% -7% -37% -22% 13 2.1% 0.7% -0.7% BUY 0%
QUS US:Qua 14% 4% -9% -36% -22% 14 1.4% 0.3% -0.9% BUY 0%
LGLV US:LV 13% 4% -4% -24% -14% 15 1.4% 0.6% -0.5% BUY 0%
MOAT US:Fun 18% -2% -23% -53% -38% 16 0.4% -0.9% -2.2% Sell 0%
XHB US:HB 19% -4% -13% -35% -24% 17 1.2% -0.3% -1.6% Sell 0%
RDVY US:D-I 16% -6% -30% -73% -52% 18 0.0% -1.8% -3.3% Sell 0%
XAR US:A&D 17% -6% -30% -61% -45% 19 0.2% -1.8% -3.7% Sell 0%
SPGP US:MFac 16% -7% -31% -73% -52% 20 0.0% -1.9% -3.5% Sell 0%
Print the post Back To Top
No. of Recommendations: 0
Quant Asset Allocation & Rotation
Performance(YTD Correction 03/15/20)
Error in YTD performance values corrected caused by failure to make the necessary annual(Jan) adjustments

  Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot    ROI     YTD   TR1y   TR3y
1- RS(4,5),RS(5,6) 102% 334 1 - - - - -18.0% -15.4% -11% 3%
2- RS(3,4),RS(4,5) 70% 353 2 - AOK AOA - -6.4% -15.4% -11% 3%
3- RS(3,4),RS(5),PO(42/126) 59% 102 1 - TLT EUSA - -9.2% -16.1% -12% 2%
4- RS(4,5),RS(6),PO(42/126) 109% 197 2 - - - - -10.1% -16.1% -12% 2%
5- RS(3,4),RS(5),PO(40/120) 94% 381 2 - - - - -2.9% -11.8% -1% -1%
6- RS(3,4),RS(5),PO(30/120) 14% 58 2 - EDV SPGP - -18.4% -4.3% 3% 14%
Cash(MI Screens) 18% --- --- --- --- --- --- --- --- --- ---
MI Screen Totals(Adj.) = 89% 241 13 - - - - -10.0% -10.3% -2.9% 5.1%
BenchMark (60/40) = N/A B&H 7 - - - - - -14.8% -4.1% 2.4%


GD_
Print the post Back To Top
No. of Recommendations: 1
Quant Asset Allocation & Rotation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Goal : Apply a tested risk adjusted mechanical trend analysis model for Quant screen trading.
Screens : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's              MAC(10M)             DBE(99d,26w)            CountIF  %Bullish    Risk
20-Mar-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | BEARish -25.8% | Bullish -34.6% | Bullish 43 | 2 13.3% Averse
SP400 (MDY) Daily | BEARish -19.0% | Bullish -33.5% | Bullish 20 | 2 13.3% Averse
SP500EW (RSP) Daily | BEARish -8.6% | Bullish -29.4% | Bullish 20 | 2 13.3% Averse
SP3200 (ITOT) Daily | Bullish -1.0% | Bullish -23.8% | Bullish 21 | 3 20.0% Risk_On
SP500 (.SPx) Daily | BEARish -87.73 | Bullish -22.4% | Bullish 21 | 2 13.3% Averse
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 1 5 5 11 73.3% Risk_On

  Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot    ROI     YTD    TR1y   TR3y
1- RS(4,5),RS(5,6) 73% 339 1 - - FFNOX - -22.5% -20.5% -17% 1%
2- RS(3,4),RS(4,5) 71% 360 2 - AOK AOA - -13.7% -20.5% -17% 1%
3- RS(3,4),RS(5),PO(42/126) 58% 108 1 - TLT EUSA - -19.0% -28.0% -25% -2%
4- RS(4,5),RS(6),PO(42/126) 101% 204 2 FDLO - - - -24.5% -28.0% -25% -2%
5- RS(3,4),RS(5),PO(40/120) 70% 388 2 ITOT - ITOT - -11.0% -20.9% -10% -4%
6- RS(3,4),RS(5),PO(30/120) 14% 65 2 XBI EDV SPGP - -26.8% -6.7% 2% 14%
Cash(MI Screens) 37% --- --- --- --- --- --- --- --- --- ---
MI Screen Totals(Adj.) = 87% 248 13 - - - - -19.7% -21.8% -14.8% 1.8%
BenchMark (60/40) = N/A B&H 7 - - - - - -22.5% -13.5% -1.0%

1-QTAA      BM       12m     6m      5m      4m   RS(4,5)  RS(5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 fast slow 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FUAMX
BB:ITT 7% 7% 12% 18% 15% 1 2.0% 2.5% 3.1% BUY 0%
FXAIX SP:500 10% 3% -10% -32% -21% 2 -0.5% -2.5% -5.1% HTD 0%
FFNOX AA:GL 6% -7% -21% -42% -31% 3 -2.2% -4.0% -6.3% HTD 339 -22.5% 73%
FSMAX DJ:CTSM 0% -14% -32% -61% -47% 4 -3.0% -5.6% -8.7% HTD 0%
FSPSX MSCI:EAFE 1% -21% -40% -64% -52% 5 -4.8% -7.2% -9.9% Sell 0%

2-QTAA   Asset     12m     5m      4m     3m   RS(3,4)  RS(4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOK
GL:Con 5% -6% -14% -30% -22% 1 -0.5% -1.3% -2.3% BUY 0%
AOM GL:Mod 4% -9% -19% -40% -30% 2 -0.9% -1.9% -3.2% BUY 361 -9.9% 31%
AOR GL:Gro 4% -15% -30% -61% -46% 3 -1.6% -3.1% -4.9% BUY 358 -16.5% 40%
IYLD GL:Inc 0% -22% -39% -77% -58% 4 -2.3% -4.2% -6.2% HTD 0%
AOA GL:Agr 4% -21% -42% -84% -63% 5 -2.4% -4.4% -6.8% Sell 0%
COMT GL:Com -13% -59% -88% -141% -114% 6 -8.6% -11.1% -13.2% Sell 0%

3-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
TLT
US:LTT 18% 31% 42% 67% 54% 1 1.9% 4.7% 6.2% BUY 0%
FUTY US:Util 12% 2% -3% -31% -17% 2 1.2% 1.7% 0.3% BUY 0%
QQEW GL:EW 13% 2% -17% -63% -40% 3 3.0% 2.0% 0.4% HTD 108 -19.0% 58%
FREL US:RE 6% -21% -31% -64% -47% 4 -0.7% -1.2% -2.9% Sell 0%
EUSA US:EW 6% -24% -51% -103% -77% 5 0.5% -1.7% -4.3% Sell 0%
IEFA DM:BMC 0% -36% -62% -112% -87% 6 -0.9% -3.8% -6.4% Sell 0%

4-QAR    Asset     12m     6m      5m      4m   RS(4,5)  RS(6)  PO(s)   PO(3)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS126 RRS105 RRS84 fast slow 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
MTUM
US:Mo 11% 8% 1% -17% -8% 1 2.2% 1.8% -0.1% BUY 0%
QUAL US:Qua 10% 1% -14% -41% -28% 2 1.4% -0.6% -3.0% Sell 53 -28.9% 53%
FBND US:TB 4% -1% -1% -5% -3% 3 0.2% 0.2% -0.2% BUY 0%
FDLO US:LV 11% -2% -12% -33% -23% 4 1.0% -0.3% -2.5% Sell 354 -19.0% 48%
USMV US:MV 9% -4% -10% -25% -18% 5 0.7% -0.2% -2.0% Sell 0%
ACWV GL:MV 5% -11% -19% -32% -26% 6 -0.5% -1.6% -3.4% Sell 0%
EFAV DM:MV 0% -20% -34% -51% -42% 7 -1.7% -3.6% -5.9% Sell 0%
EEMV EM:MV -8% -25% -39% -55% -47% 8 -2.2% -5.1% -7.2% Sell 0%

5-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 50/120 40/120 30/120 Status: HTD(31) (%) (N)
AOK
GL:Con 5% -6% -14% -30% -22% 2 0.0% -0.5% -0.9% Sell 409 -6.3% 50%
ITOT USA:BMC 8% -17% -42% -93% -68% 3 0.2% -1.4% -2.5% Sell 366 -20.7% 20%
IEUR EUR:BMC -1% -38% -68% -128% -98% 4 -2.3% -4.4% -5.9% Sell 0%
IPAC PAC:BMC -1% -45% -70% -113% -91% 5 -3.7% -5.8% -7.2% Sell 0%
ILF LA:LCV -16% -81% -120% -217% -168% 6 -6.7% -10.1% -12.4% Sell 0%
SHY US:STT 2% 4% 6% 9% 7% 1 0.4% 0.6% 0.7% FYI 0%

6-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
EDV
US:DT 24% 39% 54% 91% 73% 1 6.6% 8.6% 10.5% BUY 0%
PTNQ GL:TAA 19% 12% -7% -51% -29% 2 3.0% 1.4% -1.3% BUY 0%
IWY US:LCG 17% 8% -13% -58% -35% 3 2.2% 0.4% -2.3% BUY 0%
QTEC GL:TEW 19% 2% -24% -86% -55% 4 1.3% -1.1% -4.4% Sell 49 -26.5% 7%
XBI US:Bio 5% -1% -47% -95% -71% 5 0.4% -1.0% -3.7% Sell 81 -27.2% 7%
XT GL:TEW 11% -10% -36% -83% -59% 6 -0.4% -2.5% -5.2% Sell 0%
ESGU US:ESG 11% -11% -35% -83% -59% 7 -0.5% -2.7% -5.6% Sell 0%
XSD US:SCEW 26% -11% -44% -122% -83% 8 -0.9% -3.8% -7.3% Sell 0%
SPHQ US:Qua 10% -11% -35% -82% -58% 9 -0.9% -3.1% -5.8% Sell 0%
GSLC US:LCB 11% -12% -36% -82% -59% 10 -0.7% -2.9% -5.7% Sell 0%
IWP US:MCG 8% -14% -41% -91% -66% 11 -0.9% -3.3% -6.2% Sell 0%
TDIV GL:D-I 10% -14% -35% -86% -61% 12 -0.8% -3.3% -6.6% Sell 0%
QUS US:Qua 11% -16% -38% -83% -61% 13 -1.3% -3.5% -6.2% Sell 0%
LGLV US:LV 9% -16% -35% -76% -56% 14 -1.2% -3.3% -6.0% Sell 0%
XMMO US:Mo 3% -17% -40% -89% -64% 15 -1.1% -3.6% -6.5% Sell 0%
MOAT US:Fun 14% -25% -52% -99% -75% 16 -2.5% -4.8% -7.7% Sell 0%
RDVY US:D-I 12% -35% -69% -135% -102% 17 -3.8% -6.7% -10.3% Sell 0%
SPGP US:MFac 11% -37% -72% -138% -105% 18 -3.8% -7.0% -10.7% Sell 0%
XAR US:A&D 10% -39% -75% -143% -109% 19 -3.7% -7.4% -11.9% Sell 0%
XHB US:HB 12% -40% -66% -128% -97% 20 -3.1% -6.4% -10.2% Sell 0%
Print the post Back To Top
No. of Recommendations: 2
Quant Asset Allocation & Rotation
Universe : Exchange Traded Funds and Index MF's. Inverse/Leveraged/ETN's are excluded.
Goal : Apply a tested risk adjusted mechanical trend analysis model for Quant screen trading.
Screens : 1- Asset Allocation(MF's), 2- Multi-Asset, 3- Passively Managed, 4- Enhanced Strategy, 5- Regional, 6- WWL

   Market Trends          PO's               MAC(10M)             DBE(99d,26w)            CountIF  %Bullish   Risk
27-Mar-2020 Status: Inter Status: TP,210 Status: #MktD Bullish Eq-Wt Gauges
SP600 (IJR) Daily | BEARish -28.1% | BEARish -28.6% | Bullish 48 | 1 6.7% Averse
SP400 (MDY) Daily | BEARish -25.6% | BEARish -26.0% | Bullish 25 | 1 6.7% Averse
SP500EW (RSP) Daily | BEARish -14.6% | BEARish -22.5% | Bullish 25 | 1 6.7% Averse
SP3200 (ITOT) Daily | BEARish -4.5% | Bullish -16.9% | Bullish 26 | 2 13.3% Averse
SP500 (.SPx) Daily | BEARish -163.25 | Bullish -15.3% | Bullish 26 | 2 13.3% Averse
--- --- --- --- --- --- --- --- --- ---
IF(Bullish) = 0 2 5 7 46.7% Averse

  Summary (Buy,HTD,Sell)     Vested  HeldD  Held#  Sell  Buy  Sold*  Bot    ROI     YTD    TR1y   TR3y
1- RS(4,5),RS(5,6) 123% 346 1 - - FFNOX - -14.7% -15.9% -10% 3%
2- RS(3,4),RS(4,5) 117% 367 2 - AOK AOA - -7.0% -15.9% -10% 3%
3- RS(3,4),RS(5),PO(42/126) 96% 116 1 QQEW TLT EUSA - -13.3% -21.6% -17% 0%
4- RS(4,5),RS(6),PO(42/126) 171% 211 2 FDLO - - - -16.5% -21.6% -17% 0%
5- RS(3,4),RS(5),PO(40/120) 71% 395 2 ITOT - ITOT - -4.1% -16.4% -5% -2%
6- RS(3,4),RS(5),PO(30/120) 24% 72 2 XBI - SPGP - -19.0% -5.2% 4% 14%
Cash(MI Screens) 38% --- --- --- --- --- --- --- --- --- ---
MI Screen Totals(Adj.) = 104% 255 13 - - - - -12.3% -17.8% -10.0% 3.1%
BenchMark (60/40) = N/A B&H 7 - - - - - -16.0% -6.5% 1.7%

1-QTAA      BM       12m     6m      5m      4m   RS(4,5)  RS(5,6)  PO(s)   PO(4)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Index RRS252 RRS126 RRS105 RRS84 fast slow 40/120 30/120 24/120 Status: HTD(61) (%) (Adj)
FUAMX
BB:ITT 7% 10% 15% 22% 18% 1 2.4% 3.2% 3.9% BUY 0%
FXAIX SP:500 7% -10% -29% -59% -44% 2 -3.3% -6.8% -10.8% HTD 0%
FFNOX AA:GL 3% -19% -38% -65% -51% 3 -4.6% -7.7% -11.1% HTD 346 -14.7% 123%
FSMAX DJ:CTSM -4% -31% -57% -95% -76% 4 -6.4% -10.8% -15.9% HTD 0%
FSPSX MSCI:EAFE -3% -34% -58% -88% -73% 5 -7.4% -11.2% -14.9% Sell 0%

2-QTAA   Asset     12m     5m      4m     3m   RS(3,4)  RS(4,5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD    ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
AOK
GL:Con 3% -12% -22% -43% -33% 1 -1.5% -2.8% -4.2% BUY 0%
AOM GL:Mod 3% -16% -30% -55% -43% 2 -2.0% -3.7% -5.5% BUY 368 -3.5% 52%
AOR GL:Gro 2% -26% -45% -82% -64% 3 -3.2% -5.7% -8.2% BUY 365 -9.6% 66%
AOA GL:Agr 2% -35% -62% -111% -86% 4 -4.5% -7.7% -11.0% HTD 0%
IYLD GL:Inc -3% -37% -62% -113% -87% 5 -4.6% -7.6% -10.8% Sell 0%
COMT GL:Com -16% -76% -110% -167% -138% 6 -10.9% -14.0% -17.5% Sell 0%

3-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
TLT
US:LTT 19% 39% 54% 77% 65% 1 3.0% 6.1% 8.1% BUY 0%
FUTY US:Util 9% -17% -36% -87% -61% 2 0.2% -1.1% -4.2% Sell 0%
QQEW GL:EW 11% -18% -45% -103% -74% 3 1.6% -0.9% -4.2% Sell 116 -13.3% 96%
FREL US:RE 0% -46% -72% -136% -104% 4 -2.1% -4.7% -8.4% Sell 0%
EUSA US:EW 1% -51% -88% -159% -124% 5 -1.3% -5.4% -9.8% Sell 0%
IEFA DM:BMC -3% -58% -91% -152% -122% 6 -2.6% -6.9% -11.0% Sell 0%

4-QAR    Asset     12m     6m      5m      4m   RS(4,5)  RS(6)  PO(s)   PO(3)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS126 RRS105 RRS84 fast slow 63/126 42/126 31/126 Status: HTD(31) (%) (Adj)
MTUM
US:Mo 8% -2% -15% -40% -28% 1 1.3% -0.6% -3.8% Sell 0%
FBND US:TB 3% -2% -3% -8% -5% 2 0.1% -0.2% -0.7% Sell 0%
QUAL US:Qua 7% -11% -33% -65% -49% 3 0.1% -3.2% -7.0% Sell 60 -21.6% 89%
FDLO US:LV 7% -14% -30% -59% -45% 4 -0.1% -2.9% -6.4% Sell 361 -10.1% 82%
USMV US:MV 6% -14% -25% -49% -37% 5 -0.3% -2.4% -5.6% Sell 0%
ACWV GL:MV 2% -20% -31% -51% -41% 6 -1.3% -3.5% -6.4% Sell 0%
EFAV DM:MV -3% -29% -45% -67% -56% 7 -2.6% -5.5% -8.7% Sell 0%
EEMV EM:MV -10% -34% -51% -71% -61% 8 -3.2% -6.9% -9.6% Sell 0%

5-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(3)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 50/120 40/120 30/120 Status: HTD(31) (%) (N)
AOK
GL:Con 3% -12% -22% -43% -33% 2 -0.7% -1.5% -2.1% Sell 416 -0.2% 50%
ITOT USA:BMC 5% -36% -68% -130% -99% 3 -1.9% -4.1% -6.1% Sell 373 -12.3% 21%
IEUR EUR:BMC -4% -57% -94% -163% -128% 4 -4.5% -7.2% -9.4% Sell 0%
IPAC PAC:BMC -3% -59% -87% -135% -111% 5 -5.5% -8.0% -9.9% Sell 0%
ILF LA:LCV -22% -112% -168% -278% -223% 6 -10.1% -14.4% -17.7% Sell 0%
SHY US:STT 2% 5% 7% 10% 9% 1 0.5% 0.7% 0.9% FYI 0%

6-QAR    Asset     12m     5m      4m     3m   RS(3,4)  RS(5)  PO(s)   PO(4)   PO(f)   Criteria   HeldD     ROI   Vested
Symbol Geo:Cla RRS252 RRS105 RRS84 RRS63 fast slow 40/120 30/120 24/120 Status: HTD(31) (%) (Adj)
PTNQ
GL:TAA 17% -4% -28% -84% -56% 1 0.6% -2.7% -6.5% Sell 0%
IWY US:LCG 15% -8% -34% -91% -63% 2 -0.2% -3.6% -7.3% Sell 0%
ICVT US:CB 5% -11% -35% -87% -61% 3 -0.5% -3.4% -7.0% Sell 0%
VONG US:BMG 13% -13% -41% -99% -70% 4 -0.9% -4.4% -8.3% Sell 0%
CFO US:VWt 8% -15% -34% -67% -50% 5 -1.9% -4.2% -6.6% Sell 0%
QTEC GL:TEW 17% -15% -47% -116% -81% 6 -1.4% -5.3% -9.5% Sell 56 -18.1% 12%
XBI US:Bio 4% -20% -71% -114% -93% 7 -1.9% -5.1% -8.9% Sell 88 -20.0% 12%
SMH US:SC 28% -21% -53% -117% -85% 8 -2.0% -5.7% -9.8% Sell 0%
IHI US:MD 12% -25% -58% -112% -85% 9 -3.2% -6.6% -10.2% Sell 0%
XT GL:TEW 9% -27% -57% -114% -86% 10 -2.9% -6.4% -10.2% Sell 0%
SPHQ US:Qua 7% -28% -58% -114% -86% 11 -3.5% -7.0% -10.5% Sell 0%
ESGU US:ESG 9% -29% -59% -119% -89% 12 -3.1% -7.0% -11.0% Sell 0%
TDIV GL:D-I 7% -30% -56% -117% -87% 13 -3.3% -7.4% -11.3% Sell 0%
GSLC US:LCB 8% -30% -60% -118% -89% 14 -3.4% -7.1% -11.0% Sell 0%
XSD US:SCEW 23% -30% -68% -148% -108% 15 -3.8% -8.1% -12.5% Sell 0%
CDC US:VWt 3% -32% -52% -87% -69% 16 -4.4% -7.1% -9.7% Sell 0%
IWP US:MCG 5% -32% -65% -128% -96% 17 -3.7% -7.5% -11.8% Sell 0%
QUS US:Qua 7% -33% -62% -118% -90% 18 -3.9% -7.5% -11.4% Sell 0%
LGLV US:LV 5% -34% -62% -119% -90% 19 -3.8% -7.6% -11.6% Sell 0%
MOAT US:Fun 11% -43% -75% -130% -102% 20 -5.1% -8.9% -12.8% Sell 0%
Print the post Back To Top