Monetary Determined by US FOMC policy. Dovish, Neutral or Hawkish. Up to 10% long.
Fiscal Determined by US Fiscal policy. Up to 10% long.
Timing Long/Short off of wave count / Fibonacci projections. Short, neutral or long. 10% short, neutral or 10% long.
Based on Sea Change Long-Term Indicator:
Global Equities: 30% long or 30% cash
US Small Caps: 10% long or 10% cash
Emerging Markets: 10% long or 10% cash
Technology: 0% - 10% long off of FAANG charts
Financials: 10% long or 10% cash off of XLF chart
Current Read:
Monetary Indicator: Long 8% DJ Industrials proxy
Fiscal Indicator: Long 8% Russell MidCap Growth proxy Timing
Long / Short Indicator: Short 8% of ARKK
Global Equities 14.4% long with SPY slot 9.6% long with IEV
9.6% in cash with PacRim slot
US Small Caps 8% long with IWM
Emerg. Mkts 8% long with EEM
Technology Long 8% FAANG proxy (QQQ)
Financials Long 8% in XLF
Energy Long 5% XLE and 5% OIH
Gold / Silver Short 5% in GLD and short 5% in AGQ Net 56% long exposure
Sea Change Opportunistic Indicator:
The current reading is 0.95. Waiting for next buy signal (north of 1.20 is the primer). When it does give us a buy signal, well go all in with equity money.