ETF Sector Portfolio
The 5 Strongest ETFs (20% in each) were bought on Jan 1, 2020 and were sold on Mar 31, 2020. This was the beginning of the ATGL ETF Quarterly Rotation portfolio ($50,000).
On April 1, 2020, only 2 Funds were Above the Green Line (250-day ema) because of COVID 19, and were bought. The Remaining 60 % went into Money Market (CASH). Three more Funds (up to a max of 5 positions) were bought when they Closed back Above the Green Line on Apr 6, 2020. Subscribers were notified by the daily “Money Wave Alert!” email.
The second quarter of 2020 finished with the ETF Sector Portfolio up 18.7%, and the third quarter was up 12.6 %, and the fourth quarter was up 12.8 %.
On March 31, 2022, the 5 Funds were Sold on the Close. On Apr. 1, 2022, 20 % of the account value was allocated into each of these 5 Funds: XLF, XLU, SPY, QQQ & XLE on the Opening. (Or you can just swap XLV for XLU, and try for 20 % allocation in each of 5 Funds).
On Dec 29, 2023, the 5 Funds were Sold on the Close. On January 2, 2024, 20 % of the account value was allocated into each of these 5 Funds: SPY QQQ IWM XRT & EFA.
For updates to our ETF Sector Portfolio please visit our ETF Sector Blog. Here you will find periodic postings detailing key information about our ETF Sector Portfolio.
If a member, please log in to see our current ATGL ETF sector portfolio. If not a member, you can join below.
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