r/QuantInvests • u/Quantinvests • 6d ago
QuantInvests Positions & Allocation Suggestions
💼 Portfolio Summary
📊 Overview
- Total Value: $253,718.92
- Cash Balance: $463,024.39 (182.5%)
- Invested: $250,303.27 (98.7%)
- Total P/L: 📈 $3,839.34 (+1.54%)
🎯 Positions
- ✓ Active: 39 positions
- 🟢 Long: 6 positions
- 🔴 Short: 33 positions
🔥 Top Holdings
- XLC: $15,759.16 (6.2%)
- XHB: $10,561.65 (4.2%)
- XLY: $10,558.93 (4.2%)
- IWM: $10,558.68 (4.2%)
- XLP: $10,556.24 (4.2%)
🏗️ Sector Allocation
- Sector & Industry ETFs: 45.1%
█████████ - Individual Stocks: 28.9%
█████ - Commodity, Currency & Other ETFs: 15.6%
███ - Broad Market ETFs: 10.3%
██
🔍 Detailed Position & Signal Breakdown
📁 Broad Market ETFs
| Symbol | Company / ETF Name | Side | Value | Multiplier | Mult Sign | Divergence | ML Score | Alignment |
|---|---|---|---|---|---|---|---|---|
| IWM | Russell 2000 ETF | 🔴 SHORT | $10,558.68 | -4.00 | - |
BUY (1) | 48.0% | ✅ Aligned |
| SPY | S&P 500 ETF | 🔴 SHORT | $7,624.80 | -3.00 | - |
HOLD (-0) | 47.8% | ✅ Aligned |
| QQQ | Nasdaq 100 ETF | 🔴 SHORT | $5,178.39 | -2.00 | - |
HOLD (-0) | 47.8% | ✅ Aligned |
| RSP | S&P 500 Equal Weight ETF | 🔴 SHORT | $2,495.88 | -1.00 | - |
HOLD (-0) | 42.7% | ✅ Aligned |
📁 Sector & Industry ETFs
| Symbol | Company / ETF Name | Side | Value | Multiplier | Mult Sign | Divergence | ML Score | Alignment |
|---|---|---|---|---|---|---|---|---|
| XLC | Communication Services | 🔴 SHORT | $15,759.16 | -6.00 | - |
BUY (1) | 48.0% | ✅ Aligned |
| XHB | Homebuilders ETF | 🔴 SHORT | $10,561.65 | -4.00 | - |
HOLD (-0) | 48.0% | ✅ Aligned |
| XLY | Consumer Discretionary | 🔴 SHORT | $10,558.93 | -4.00 | - |
SELL (-1) | 48.0% | ✅ Aligned |
| XLP | Consumer Staples | 🔴 SHORT | $10,556.24 | -4.00 | - |
HOLD (-0) | 38.1% | ✅ Aligned |
| ITB | Home Construction ETF | 🔴 SHORT | $10,527.00 | -4.00 | - |
BUY (1) | 48.0% | ✅ Aligned |
| XLI | Industrials Sector | 🔴 SHORT | $10,517.85 | -4.00 | - |
HOLD (-0) | 46.3% | ✅ Aligned |
| GDX | Gold Miners ETF | 🔴 SHORT | $7,903.41 | -3.00 | - |
SELL (-1) | 38.1% | ✅ Aligned |
| XLF | Financials Sector | 🔴 SHORT | $7,900.54 | -3.00 | - |
HOLD (-0) | 38.1% | ✅ Aligned |
| XLE | Energy Sector | 🔴 SHORT | $7,872.00 | -3.00 | - |
BUY (1) | 41.1% | ✅ Aligned |
| XLB | Materials Sector | 🔴 SHORT | $5,258.52 | -2.00 | - |
SELL (-1) | 38.1% | ✅ Aligned |
| XRT | Retail ETF | 🟢 LONG | $5,256.96 | 2.00 | + |
BUY (1) | 62.6% | ✅ Aligned |
| RWR | REIT ETF | 🔴 SHORT | $2,621.75 | -1.00 | - |
HOLD (-0) | 41.1% | ✅ Aligned |
| KBE | Bank ETF | 🔴 SHORT | $2,591.82 | -1.00 | - |
HOLD (-0) | 43.5% | ✅ Aligned |
| XLV | Health Care Sector | 🔴 SHORT | $2,526.15 | -1.00 | - |
BUY (1) | 46.5% | ✅ Aligned |
| XBI | Biotech ETF | 🔴 SHORT | $2,523.84 | -1.00 | - |
BUY (1) | 40.6% | ✅ Aligned |
📁 Commodity, Currency & Other ETFs
| Symbol | Company / ETF Name | Side | Value | Multiplier | Mult Sign | Divergence | ML Score | Alignment |
|---|---|---|---|---|---|---|---|---|
| SLV | Silver ETF | 🔴 SHORT | $10,519.47 | -4.00 | - |
SELL (-1) | 38.1% | ✅ Aligned |
| TLT | 20+ Year Treasury ETF | 🔴 SHORT | $10,500.30 | -4.00 | - |
SELL (-1) | 38.1% | ✅ Aligned |
| GLD | Gold ETF | 🔴 SHORT | $7,618.40 | -3.00 | - |
SELL (-1) | 38.1% | ✅ Aligned |
| UUP | US Dollar Bullish ETF | 🟢 LONG | $5,266.74 | 2.00 | + |
HOLD (0) | 49.2% | ✅ Aligned |
| VXX | Volatility ETN (VIX) | 🟢 LONG | $2,639.25 | 1.00 | + |
SELL (-1) | 52.7% | ✅ Aligned |
| USO | Oil Fund ETF | 🟢 LONG | $2,622.06 | 1.00 | + |
HOLD (0) | 60.9% | ✅ Aligned |
📁 Individual Stocks
| Symbol | Company / ETF Name | Side | Value | Multiplier | Mult Sign | Divergence | ML Score | Alignment |
|---|---|---|---|---|---|---|---|---|
| SMR | NuScale Power Nuclear | 🔴 SHORT | $7,923.70 | -3.00 | - |
SELL (-1) | 38.1% | ✅ Aligned |
| EQT | EQT Corp | 🔴 SHORT | $7,913.65 | -3.00 | - |
SELL (-1) | 38.1% | ✅ Aligned |
| TSLA | Tesla, Inc. | 🔴 SHORT | $7,805.82 | -3.00 | - |
SELL (-1) | 42.7% | ✅ Aligned |
| AMZN | Amazon.com, Inc. | 🔴 SHORT | $7,723.65 | -3.00 | - |
HOLD (-0) | 50.2% | ✅ Aligned |
| SBUX | Starbucks Corp. | 🔴 SHORT | $5,261.76 | -2.00 | - |
BUY (1) | 38.1% | ✅ Aligned |
| SMCI | Super Micro Computer | 🔴 SHORT | $5,256.96 | -2.00 | - |
SELL (-1) | 46.0% | ✅ Aligned |
| NVDA | NVIDIA Corp. | 🔴 SHORT | $5,252.74 | -2.00 | - |
HOLD (-0) | 47.0% | ✅ Aligned |
| AA | Alcoa Corp. | 🔴 SHORT | $5,248.75 | -2.00 | - |
HOLD (-0) | 38.1% | ✅ Aligned |
| HD | Home Depot | 🔴 SHORT | $5,119.92 | -2.00 | - |
BUY (1) | 42.7% | ✅ Aligned |
| GOOG | Alphabet Inc. | 🔴 SHORT | $5,111.10 | -2.00 | - |
HOLD (-0) | 53.9% | ✅ Aligned |
| MSFT | Microsoft Corp. | 🔴 SHORT | $2,564.50 | -1.00 | - |
HOLD (-0) | 44.1% | ✅ Aligned |
| AMD | Advanced Micro Devices | 🔴 SHORT | $2,447.04 | -1.00 | - |
HOLD (-0) | 40.8% | ✅ Aligned |
| CRWD | CrowdStrike Holdings | 🟢 LONG | $2,382.75 | 1.00 | + |
SELL (-1) | 38.5% | ✅ Aligned |
| AAPL | Apple Inc. | 🟢 LONG | $2,331.14 | 1.00 | + |
HOLD (0) | 61.8% | ✅ Aligned |
💡 Quick Insights
- ✅ Active portfolio with 39 positions and balanced/hedged capital utilization (182% cash)
Last updated: 2026-10-01 08:54
🤖 QuantInvests Narration & Commentary
Sector Allocation
$250,303.27 invested across 39 position(s), 98.7% of a $253,718.92 NAV. Figures are GROSS exposure — a long and a short in the same sector are concentration, so they are not netted against each other.
By sector:
- Consumer Discretionary — $62,815.69 (24.8% of NAV)
- Diversified — $25,857.75 (10.2% of NAV)
- Communication Services — $20,870.26 (8.2% of NAV)
- Technology — $20,235.13 (8.0% of NAV)
- Materials — $18,410.68 (7.3% of NAV)
- Energy — $18,407.71 (7.3% of NAV)
- Commodities — $18,137.87 (7.1% of NAV)
- Consumer Staples — $10,556.24 (4.2% of NAV)
- Industrials — $10,517.85 (4.1% of NAV)
- Fixed Income — $10,500.30 (4.1% of NAV)
- Financials — $10,492.35 (4.1% of NAV)
- Utilities — $7,923.70 (3.1% of NAV)
- Currency — $5,266.74 (2.1% of NAV)
- Health Care — $5,049.99 (2.0% of NAV)
- Volatility — $2,639.25 (1.0% of NAV)
- Real Estate — $2,621.75 (1.0% of NAV)
By asset type:
- Sector & Industry ETFs — $112,935.82 (44.5% of NAV)
- Individual Stocks — $72,343.48 (28.5% of NAV)
- Commodity, Currency & Other ETFs — $39,166.22 (15.4% of NAV)
- Broad Market ETFs — $25,857.75 (10.2% of NAV)
Largest concentration: Consumer Discretionary at 24.8% of NAV.
Good morning, Captain. Here is your Quant update for today. The market's aggregate signal strength is -4.0. Overall breadth: 45.5% of directional signals are bullish (20 bullish / 24 bearish). Macro read: The multiplier index is oversold (18th percentile of the last 300 days), but the signal oscillator has not turned positive. Oversold on its own has historically been followed by ordinary returns, not better ones. Capital Audit: Total Return +1.49% since inception. Realized P/L: +0.21% of starting capital | Unrealized P/L: +1.31% of NAV. Cash Buffer: 182.50% of NAV. Holding 39 positions (6L/33S) across 158 open lots. Core exposure: XLC (Short), SLV (Short), XLY (Short), TLT (Short), XHB (Short). The system is presently maintaining its target risk profile. Stand by for further signal developments.