What I am about to say, you have heard over and over for the past three months. My global multi-strategy ETF model was up this week and remains 100% allocated to QQQ. My model rose by 1.87% versus 0.57% for the 60/40 model. There is no change in my model’s allocation of 100% to QQQ.
Since I began posting weekly ETF allocations here in November 2021, my model has produced a CAGR which is 12.0% higher than that for the 60/40 model. This spread is above the long-term average spread between the two models.
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