My ETF trading system was down early in the week but did finish with a gain, unlike the 60/40 portfolio which lost 1.06%. As noted in the chart, my system has generated a CAGR 8.0% higher than the 60/40 portfolio since November 2021.
There is a change in allocations today as my model has switched to a very conservative stance with holdings in Treasuries and corporate bonds.
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