The Trend Asset Allocation Model is an asset allocation model that applies trend-following principles based on the inputs of global stock and commodity prices. This model has a shorter time horizon and tends to turn over about 4-6 times a year. The performance and full details of a model portfolio based on the out-of-sample signals of the Trend Model can be found here.
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The latest signals of each model are as follows:
- Ultimate market timing model: Buy equities (Last changed from “sell” on 28-Jul-2023)*
- Trend Model signal: Neutral (Last changed from “bullish” on 26-Jul-2024)*
- Trading model: Bearish (Last changed from “neutral” on 06-Sep-2024)*
Update schedule: I generally update model readings on my site on weekends. I am also on X/Twitter at @humblestudent. Subscribers receive real-time alerts of trading model changes, and a hypothetical trading record of those email alerts is shown here.
Subscribers can access the latest signal in real time here. A difficult decisionTechnical analysts face a difficult decision. The stock market is exhibiting strong positive price momentum, but in the face of a seasonally weak period for stocks.
On one hand, the S&P 500 just staged an upside breakout from a cup and handle formation, which is a highly bullish pattern.
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On the other hand, stock prices tend to weaken into late October in an election year.
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The full post can be found here.