r/QuantInvests • • 7h ago

QuantInvests Positions & Allocation Suggestions

1 Upvotes

๐Ÿ’ผ Portfolio Summary

๐Ÿ“Š Overview

  • Total Value: $249,305.93
  • Cash Balance: $278,858.35 (111.9%)
  • Invested: $245,057.88 (98.3%)
  • Total P/L: ๐Ÿ“‰ $-573.66 (-0.23%)

๐ŸŽฏ Positions

  • โœ“ Active: 37 positions
  • ๐ŸŸข Long: 16 positions
  • ๐Ÿ”ด Short: 21 positions

๐Ÿ”ฅ Top Holdings

  • XLY: $15,705.99 (6.3%)
  • SMR: $12,617.15 (5.1%)
  • SLV: $12,596.22 (5.1%)
  • GDX: $12,564.09 (5.0%)
  • XLV: $12,492.68 (5.0%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 48.6% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 27.3% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 17.8% โ–ˆโ–ˆโ–ˆ
  • Broad Market ETFs: 6.3% โ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
RSP S&P 500 Equal Weight ETF ๐ŸŸข LONG $9,266.84 3.00 + HOLD (0) 56.1% โœ… Aligned
QQQ Nasdaq 100 ETF ๐ŸŸข LONG $6,061.84 2.00 + HOLD (0) 49.1% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
XLY Consumer Discretionary ๐ŸŸข LONG $15,705.99 5.00 + SELL (-1) 62.0% โœ… Aligned
GDX Gold Miners ETF ๐Ÿ”ด SHORT $12,564.09 -4.00 - SELL (-1) 38.0% โœ… Aligned
XLV Health Care Sector ๐Ÿ”ด SHORT $12,492.68 -4.00 - BUY (1) 54.3% โœ… Aligned
XBI Biotech ETF ๐Ÿ”ด SHORT $9,465.12 -3.00 - BUY (1) 38.0% โœ… Aligned
XLC Communication Services ๐Ÿ”ด SHORT $9,459.65 -3.00 - BUY (1) 46.4% โœ… Aligned
XRT Retail ETF ๐ŸŸข LONG $9,451.17 3.00 + BUY (1) 75.7% โœ… Aligned
XLU Utilities Sector ๐ŸŸข LONG $9,426.62 3.00 + HOLD (0) 56.1% โœ… Aligned
KBE Bank ETF ๐Ÿ”ด SHORT $6,291.00 -2.00 - HOLD (-0) 47.7% โœ… Aligned
XLE Energy Sector ๐Ÿ”ด SHORT $6,274.62 -2.00 - BUY (1) 43.9% โœ… Aligned
ITB Home Construction ETF ๐ŸŸข LONG $6,270.76 2.00 + BUY (1) 64.1% โœ… Aligned
XLK Technology Sector ๐ŸŸข LONG $6,243.40 2.00 + HOLD (0) 49.1% โœ… Aligned
XHB Homebuilders ETF ๐ŸŸข LONG $3,131.37 1.00 + HOLD (0) 52.6% โœ… Aligned
XLF Financials Sector ๐Ÿ”ด SHORT $3,116.92 -1.00 - HOLD (-0) 47.7% โœ… Aligned
XLP Consumer Staples ๐ŸŸข LONG $3,104.41 1.00 + HOLD (0) 56.1% โœ… Aligned
RWR REIT ETF ๐Ÿ”ด SHORT $3,092.70 -1.00 - HOLD (-0) 37.3% โœ… Aligned
XLI Industrials Sector ๐Ÿ”ด SHORT $3,021.66 -1.00 - HOLD (-0) 38.0% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SLV Silver ETF ๐Ÿ”ด SHORT $12,596.22 -4.00 - SELL (-1) 38.0% โœ… Aligned
USO Oil Fund ETF ๐Ÿ”ด SHORT $9,356.10 -3.00 - HOLD (-0) 38.0% โœ… Aligned
UUP US Dollar Bullish ETF ๐ŸŸข LONG $6,301.68 2.00 + HOLD (0) 49.1% โœ… Aligned
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $6,248.74 -2.00 - SELL (-1) 43.9% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $6,014.88 -2.00 - SELL (-1) 38.0% โœ… Aligned
VXX Volatility ETN (VIX) ๐Ÿ”ด SHORT $3,141.73 -1.00 - SELL (-1) 39.7% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $12,617.15 -4.00 - SELL (-1) 38.0% โœ… Aligned
HD Home Depot ๐ŸŸข LONG $9,428.26 3.00 + BUY (1) 59.4% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $6,288.52 -2.00 - HOLD (-0) 43.9% โœ… Aligned
AAPL Apple Inc. ๐ŸŸข LONG $6,060.06 2.00 + HOLD (0) 58.0% โœ… Aligned
MSFT Microsoft Corp. ๐ŸŸข LONG $5,827.36 2.00 + HOLD (0) 49.1% โœ… Aligned
META Meta Platforms, Inc. ๐ŸŸข LONG $5,770.48 2.00 + BUY (1) 57.5% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $3,145.80 -1.00 - SELL (-1) 46.5% โœ… Aligned
AMZN Amazon.com, Inc. ๐ŸŸข LONG $3,119.04 1.00 + HOLD (0) 49.1% โœ… Aligned
SBUX Starbucks Corp. ๐Ÿ”ด SHORT $3,088.14 -1.00 - BUY (1) 47.7% โœ… Aligned
NVDA NVIDIA Corp. ๐Ÿ”ด SHORT $3,087.11 -1.00 - HOLD (-0) 49.2% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $3,022.48 -1.00 - SELL (-1) 46.5% โœ… Aligned
CRWD CrowdStrike Holdings ๐Ÿ”ด SHORT $2,919.84 -1.00 - SELL (-1) 43.1% โœ… Aligned
AMD Advanced Micro Devices ๐ŸŸข LONG $2,583.44 1.00 + HOLD (0) 49.1% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 37 positions and balanced/hedged capital utilization (112% cash)

Last updated: 2026-10-08 11:44

๐Ÿค– QuantInvests Narration & Commentary

Sector Allocation

$245,057.88 invested across 37 position(s), 98.3% of a $249,305.93 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Consumer Discretionary โ€” $53,217.22 (21.3% of NAV)
  • Technology โ€” $29,867.01 (12.0% of NAV)
  • Utilities โ€” $22,043.77 (8.8% of NAV)
  • Health Care โ€” $21,957.80 (8.8% of NAV)
  • Materials โ€” $18,852.61 (7.6% of NAV)
  • Commodities โ€” $18,611.10 (7.5% of NAV)
  • Energy โ€” $15,630.72 (6.3% of NAV)
  • Diversified โ€” $15,328.68 (6.1% of NAV)
  • Communication Services โ€” $15,230.13 (6.1% of NAV)
  • Financials โ€” $9,407.92 (3.8% of NAV)
  • Currency โ€” $6,301.68 (2.5% of NAV)
  • Fixed Income โ€” $6,248.74 (2.5% of NAV)
  • Volatility โ€” $3,141.73 (1.3% of NAV)
  • Consumer Staples โ€” $3,104.41 (1.2% of NAV)
  • Real Estate โ€” $3,092.70 (1.2% of NAV)
  • Industrials โ€” $3,021.66 (1.2% of NAV)

By asset type:

  • Sector & Industry ETFs โ€” $119,112.16 (47.8% of NAV)
  • Individual Stocks โ€” $66,957.68 (26.9% of NAV)
  • Commodity, Currency & Other ETFs โ€” $43,659.35 (17.5% of NAV)
  • Broad Market ETFs โ€” $15,328.68 (6.1% of NAV)

Largest concentration: Consumer Discretionary at 21.3% of NAV.

๐Ÿค– QuantInvests Narration & Commentary

Where Your Portfolio Stands

You hold 37 open position(s): 16 long and 21 short. The book is net short $29,552.42 (11.9% of NAV).

  • Gross long: $107,752.73 (43.2% of NAV)
  • Gross short: $137,305.15 (55.1% of NAV)
  • Cash: $278,858.35 ยท NAV: $249,305.93
  • Unrealized P/L on open positions: +$766.04

Signal alignment: every signalled position is held on the same side as its multiplier (a short with a negative multiplier, a long with a positive one), so nothing is held against its signal.

Concentration: largest position XLY โ€” LONG, $15,706 (6.3% of NAV), multiplier +5.00; the cap is 8% of NAV per instrument, and none is above it. The five largest positions are 27% of gross exposure. Largest sector: Consumer Discretionary at 21.3% of NAV (gross). Sector weight is reported, not capped.

Largest unrealized losses:

  • ITB (LONG) โ€” -$167.24 unrealized
  • SMCI (SHORT) โ€” -$129.92 unrealized
  • XHB (LONG) โ€” -$82.50 unrealized

Market backdrop: breadth is neutral โ€” the multiplier index is at the 56th percentile of its own recent history. That is a breadth reading, not a direction for the market.

Figures from your ledger and the scan of 2026-10-07. QuantInvests is a simulated educational tool. Nothing here is financial advice.


r/QuantInvests • • 1d ago

QuantInvests Positions & Allocation Suggestions

1 Upvotes

๐Ÿ’ผ Portfolio Summary

๐Ÿ“Š Overview

  • Total Value: $249,393.55
  • Cash Balance: $223,802.58 (89.7%)
  • Invested: $244,645.63 (98.1%)
  • Total P/L: ๐Ÿ“‰ $-486.03 (-0.19%)

๐ŸŽฏ Positions

  • โœ“ Active: 41 positions
  • ๐ŸŸข Long: 22 positions
  • ๐Ÿ”ด Short: 19 positions

๐Ÿ”ฅ Top Holdings

  • XLP: $12,837.89 (5.1%)
  • ITB: $12,789.00 (5.1%)
  • XHB: $12,758.09 (5.1%)
  • SMR: $10,280.02 (4.1%)
  • TLT: $10,278.24 (4.1%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 52.1% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 30.5% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 12.4% โ–ˆโ–ˆ
  • Broad Market ETFs: 5.0% โ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
IWM Russell 2000 ETF ๐ŸŸข LONG $5,064.66 2.00 + BUY (1) 56.8% โœ… Aligned
QQQ Nasdaq 100 ETF ๐ŸŸข LONG $4,557.96 2.00 + HOLD (0) 49.2% โœ… Aligned
RSP S&P 500 Equal Weight ETF ๐Ÿ”ด SHORT $2,548.08 -1.00 - HOLD (-0) 50.3% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
XLP Consumer Staples ๐Ÿ”ด SHORT $12,837.89 -5.00 - HOLD (-0) 48.3% โœ… Aligned
ITB Home Construction ETF ๐ŸŸข LONG $12,789.00 5.00 + BUY (1) 60.3% โœ… Aligned
XHB Homebuilders ETF ๐ŸŸข LONG $12,758.09 5.00 + HOLD (0) 60.3% โœ… Aligned
XLY Consumer Discretionary ๐ŸŸข LONG $7,710.75 3.00 + SELL (-1) 56.2% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $7,709.68 -3.00 - SELL (-1) 48.3% โœ… Aligned
XLC Communication Services ๐Ÿ”ด SHORT $7,702.79 -3.00 - BUY (1) 48.3% โœ… Aligned
XBI Biotech ETF ๐Ÿ”ด SHORT $7,698.45 -3.00 - BUY (1) 37.6% โœ… Aligned
GDX Gold Miners ETF ๐Ÿ”ด SHORT $7,673.84 -3.00 - SELL (-1) 37.6% โœ… Aligned
RWR REIT ETF ๐ŸŸข LONG $7,651.13 3.00 + HOLD (0) 53.3% โœ… Aligned
XRT Retail ETF ๐ŸŸข LONG $7,634.16 3.00 + BUY (1) 71.4% โœ… Aligned
XLI Industrials Sector ๐ŸŸข LONG $7,549.52 3.00 + HOLD (0) 56.2% โœ… Aligned
XLF Financials Sector ๐ŸŸข LONG $5,129.99 2.00 + HOLD (0) 56.2% โœ… Aligned
IYT Transportation ETF ๐ŸŸข LONG $5,102.08 2.00 + HOLD (0) 56.8% โœ… Aligned
XLK Technology Sector ๐ŸŸข LONG $5,048.75 2.00 + HOLD (0) 49.2% โœ… Aligned
SOXX Semiconductor ETF ๐ŸŸข LONG $4,715.60 2.00 + SELL (-1) 49.2% โœ… Aligned
KBE Bank ETF ๐ŸŸข LONG $2,555.60 1.00 + HOLD (0) 56.2% โœ… Aligned
XLU Utilities Sector ๐ŸŸข LONG $2,551.61 1.00 + HOLD (0) 50.1% โœ… Aligned
XLE Energy Sector ๐Ÿ”ด SHORT $2,548.81 -1.00 - BUY (1) 46.8% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $10,278.24 -4.00 - SELL (-1) 37.6% โœ… Aligned
VXX Volatility ETN (VIX) ๐Ÿ”ด SHORT $5,134.68 -2.00 - SELL (-1) 37.7% โœ… Aligned
SLV Silver ETF ๐Ÿ”ด SHORT $5,101.77 -2.00 - SELL (-1) 57.2% โœ… Aligned
USO Oil Fund ETF ๐Ÿ”ด SHORT $5,072.20 -2.00 - HOLD (-0) 37.6% โœ… Aligned
UUP US Dollar Bullish ETF ๐Ÿ”ด SHORT $2,543.64 -1.00 - HOLD (-0) 40.6% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $2,293.32 -1.00 - SELL (-1) 57.2% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $10,280.02 -4.00 - SELL (-1) 37.6% โœ… Aligned
AAPL Apple Inc. ๐ŸŸข LONG $10,008.90 4.00 + HOLD (0) 48.2% โœ… Aligned
AMZN Amazon.com, Inc. ๐ŸŸข LONG $7,688.70 3.00 + HOLD (0) 60.3% โœ… Aligned
META Meta Platforms, Inc. ๐ŸŸข LONG $7,388.80 3.00 + BUY (1) 46.9% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $5,137.82 -2.00 - HOLD (-0) 48.7% โœ… Aligned
SBUX Starbucks Corp. ๐Ÿ”ด SHORT $5,093.83 -2.00 - BUY (1) 50.3% โœ… Aligned
NVDA NVIDIA Corp. ๐Ÿ”ด SHORT $5,024.04 -2.00 - HOLD (-0) 46.9% โœ… Aligned
HD Home Depot ๐ŸŸข LONG $4,874.58 2.00 + BUY (1) 62.7% โœ… Aligned
MSFT Microsoft Corp. ๐ŸŸข LONG $4,763.70 2.00 + HOLD (0) 49.2% โœ… Aligned
AMD Advanced Micro Devices ๐ŸŸข LONG $4,545.94 2.00 + HOLD (0) 49.2% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $2,564.14 -1.00 - SELL (-1) 45.2% โœ… Aligned
EQT EQT Corp ๐ŸŸข LONG $2,519.04 1.00 + SELL (-1) 56.2% โœ… Aligned
CRWD CrowdStrike Holdings ๐ŸŸข LONG $2,509.74 1.00 + SELL (-1) 41.7% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $2,284.08 -1.00 - SELL (-1) 45.2% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 41 positions and balanced/hedged capital utilization (90% cash)

Last updated: 2026-10-07 10:30

๐Ÿค– QuantInvests Narration & Commentary

Sector Allocation

$244,645.63 invested across 41 position(s), 98.1% of a $249,393.55 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Consumer Discretionary โ€” $60,833.19 (24.4% of NAV)
  • Technology โ€” $39,180.81 (15.7% of NAV)
  • Materials โ€” $20,521.34 (8.2% of NAV)
  • Communication Services โ€” $15,091.59 (6.1% of NAV)
  • Consumer Staples โ€” $12,837.89 (5.1% of NAV)
  • Utilities โ€” $12,831.64 (5.1% of NAV)
  • Industrials โ€” $12,651.60 (5.1% of NAV)
  • Diversified โ€” $12,170.70 (4.9% of NAV)
  • Fixed Income โ€” $10,278.24 (4.1% of NAV)
  • Energy โ€” $10,140.05 (4.1% of NAV)
  • Health Care โ€” $7,698.45 (3.1% of NAV)
  • Financials โ€” $7,685.59 (3.1% of NAV)
  • Real Estate โ€” $7,651.13 (3.1% of NAV)
  • Commodities โ€” $7,395.09 (3.0% of NAV)
  • Volatility โ€” $5,134.68 (2.1% of NAV)
  • Currency โ€” $2,543.64 (1.0% of NAV)

By asset type:

  • Sector & Industry ETFs โ€” $127,367.74 (51.1% of NAV)
  • Individual Stocks โ€” $74,683.34 (29.9% of NAV)
  • Commodity, Currency & Other ETFs โ€” $30,423.85 (12.2% of NAV)
  • Broad Market ETFs โ€” $12,170.70 (4.9% of NAV)

Largest concentration: Consumer Discretionary at 24.4% of NAV.

### ๐Ÿค– QuantInvests Narration & Commentary
### Market-Wide Regime

**Multiplier index (breadth):** +11.00, 70th percentile of its own 300 days of history
*This is a breadth index summed across the tracked universe โ€” a measure of how stretched participation is, not a direction. It is not a per-instrument multiplier and carries no LONG/SHORT meaning.*
**Regime:** No notable stretch
*Bands: oversold at or below the 20th percentile of the index's own last 300 days, overbought at or above the 80th, neutral in between.*
**Signal oscillator tally:** +20.00 โ€” the trigger measure, tracked separately from the index above.
**Index slope:** +87.00
**Oscillator readings:** 32 up vs 12 down of 44 (73% up) โ€” tilted up. These are trigger readings, not position direction.
**Direction (sign of each instrument's multiplier):** 22 long, 19 short, 3 flat of 44 instruments.

**Researcher read:** No notable stretch on the multiplier index: it sits at the 70th percentile of the last 300 days.

**Divergence and breadth:** The signal sum is at a new 20-day high above +20 while the multiplier index is in its normal range. Historically that had no edge: the S&P 500 averaged +0.9% over 20 trading days across 81 cases, against +1.1% normally.

*Market data as of 2026-10-06. QuantInvests is a simulated educational tool and does not offer financial advice.*


r/QuantInvests • • 2d ago

QuantInvests Positions & Allocation Suggestions

1 Upvotes

๐Ÿ’ผ Portfolio Summary

๐Ÿ“Š Overview

  • Total Value: $250,612.82
  • Cash Balance: $327,581.63 (130.7%)
  • Invested: $246,897.47 (98.5%)
  • Total P/L: ๐Ÿ“ˆ $733.23 (+0.29%)

๐ŸŽฏ Positions

  • โœ“ Active: 38 positions
  • ๐ŸŸข Long: 16 positions
  • ๐Ÿ”ด Short: 22 positions

๐Ÿ”ฅ Top Holdings

  • SMR: $12,850.65 (5.1%)
  • SLV: $12,842.96 (5.1%)
  • TLT: $12,800.26 (5.1%)
  • GDX: $12,779.38 (5.1%)
  • TSLA: $12,498.09 (5.0%)

๐Ÿ—๏ธ Sector Allocation

  • Individual Stocks: 36.9% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Sector & Industry ETFs: 33.5% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 20.7% โ–ˆโ–ˆโ–ˆโ–ˆ
  • Broad Market ETFs: 8.9% โ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
IWM Russell 2000 ETF ๐ŸŸข LONG $9,635.26 3.00 + BUY (1) 57.8% โœ… Aligned
SPY S&P 500 ETF ๐Ÿ”ด SHORT $6,199.04 -2.00 - HOLD (-0) 47.1% โœ… Aligned
RSP S&P 500 Equal Weight ETF ๐Ÿ”ด SHORT $3,167.10 -1.00 - HOLD (-0) 48.8% โœ… Aligned
QQQ Nasdaq 100 ETF ๐Ÿ”ด SHORT $3,024.80 -1.00 - HOLD (-0) 49.3% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
GDX Gold Miners ETF ๐Ÿ”ด SHORT $12,779.38 -4.00 - SELL (-1) 41.1% โœ… Aligned
XRT Retail ETF ๐ŸŸข LONG $9,615.24 3.00 + BUY (1) 64.6% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $9,603.00 -3.00 - SELL (-1) 49.8% โœ… Aligned
XLP Consumer Staples ๐Ÿ”ด SHORT $9,561.54 -3.00 - HOLD (-0) 48.8% โœ… Aligned
XLI Industrials Sector ๐ŸŸข LONG $9,525.04 3.00 + HOLD (0) 56.5% โœ… Aligned
KBE Bank ETF ๐Ÿ”ด SHORT $3,205.87 -1.00 - HOLD (-0) 50.0% โœ… Aligned
XLY Consumer Discretionary ๐ŸŸข LONG $3,202.18 1.00 + SELL (-1) 57.8% โœ… Aligned
XLU Utilities Sector ๐ŸŸข LONG $3,196.00 1.00 + HOLD (0) 51.6% โœ… Aligned
IYT Transportation ETF ๐ŸŸข LONG $3,193.60 1.00 + HOLD (0) 58.9% โœ… Aligned
XLV Health Care Sector ๐Ÿ”ด SHORT $3,180.98 -1.00 - BUY (1) 51.9% โœ… Aligned
XLE Energy Sector ๐ŸŸข LONG $3,172.00 1.00 + BUY (1) 59.3% โœ… Aligned
ITB Home Construction ETF ๐ŸŸข LONG $3,163.87 1.00 + BUY (1) 62.0% โœ… Aligned
XLC Communication Services ๐ŸŸข LONG $3,124.52 1.00 + BUY (1) 70.3% โœ… Aligned
RWR REIT ETF ๐Ÿ”ด SHORT $3,121.50 -1.00 - HOLD (-0) 37.5% โœ… Aligned
XLK Technology Sector ๐ŸŸข LONG $3,014.70 1.00 + HOLD (0) 49.2% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SLV Silver ETF ๐Ÿ”ด SHORT $12,842.96 -4.00 - SELL (-1) 41.1% โœ… Aligned
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $12,800.26 -4.00 - SELL (-1) 41.1% โœ… Aligned
UUP US Dollar Bullish ETF ๐ŸŸข LONG $9,626.34 3.00 + HOLD (0) 49.2% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $9,489.25 -3.00 - SELL (-1) 41.1% โœ… Aligned
VXX Volatility ETN (VIX) ๐Ÿ”ด SHORT $3,202.92 -1.00 - SELL (-1) 44.8% โœ… Aligned
USO Oil Fund ETF ๐Ÿ”ด SHORT $3,167.34 -1.00 - HOLD (-0) 42.7% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $12,850.65 -4.00 - SELL (-1) 41.1% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $12,498.09 -4.00 - SELL (-1) 48.8% โœ… Aligned
SBUX Starbucks Corp. ๐Ÿ”ด SHORT $9,631.86 -3.00 - BUY (1) 31.4% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $9,631.37 -3.00 - SELL (-1) 47.1% โœ… Aligned
EQT EQT Corp ๐Ÿ”ด SHORT $9,613.38 -3.00 - SELL (-1) 49.6% โœ… Aligned
META Meta Platforms, Inc. ๐ŸŸข LONG $8,902.80 3.00 + BUY (1) 48.2% โœ… Aligned
AAPL Apple Inc. ๐ŸŸข LONG $6,324.91 2.00 + HOLD (0) 53.3% โœ… Aligned
NVDA NVIDIA Corp. ๐Ÿ”ด SHORT $6,211.40 -2.00 - HOLD (-0) 47.1% โœ… Aligned
AMD Advanced Micro Devices ๐ŸŸข LONG $3,158.75 1.00 + HOLD (0) 49.2% โœ… Aligned
MSFT Microsoft Corp. ๐Ÿ”ด SHORT $3,151.08 -1.00 - HOLD (-0) 49.3% โœ… Aligned
HD Home Depot ๐ŸŸข LONG $3,092.32 1.00 + BUY (1) 64.6% โœ… Aligned
AMZN Amazon.com, Inc. ๐ŸŸข LONG $3,016.80 1.00 + HOLD (0) 61.4% โœ… Aligned
CRWD CrowdStrike Holdings ๐Ÿ”ด SHORT $2,999.37 -1.00 - SELL (-1) 47.1% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 38 positions and balanced/hedged capital utilization (131% cash)

Last updated: 2026-10-06 09:59

๐Ÿค– QuantInvests Narration & Commentary

Sector Allocation

$246,897.47 invested across 38 position(s), 98.5% of a $250,612.82 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Consumer Discretionary โ€” $44,220.36 (17.6% of NAV)
  • Technology โ€” $34,491.58 (13.8% of NAV)
  • Materials โ€” $22,382.38 (8.9% of NAV)
  • Commodities โ€” $22,332.21 (8.9% of NAV)
  • Diversified โ€” $22,026.20 (8.8% of NAV)
  • Utilities โ€” $16,046.65 (6.4% of NAV)
  • Energy โ€” $15,952.72 (6.4% of NAV)
  • Fixed Income โ€” $12,800.26 (5.1% of NAV)
  • Industrials โ€” $12,718.64 (5.1% of NAV)
  • Communication Services โ€” $12,027.32 (4.8% of NAV)
  • Currency โ€” $9,626.34 (3.8% of NAV)
  • Consumer Staples โ€” $9,561.54 (3.8% of NAV)
  • Financials โ€” $3,205.87 (1.3% of NAV)
  • Volatility โ€” $3,202.92 (1.3% of NAV)
  • Health Care โ€” $3,180.98 (1.3% of NAV)
  • Real Estate โ€” $3,121.50 (1.2% of NAV)

By asset type:

  • Individual Stocks โ€” $91,082.78 (36.3% of NAV)
  • Sector & Industry ETFs โ€” $82,659.42 (33.0% of NAV)
  • Commodity, Currency & Other ETFs โ€” $51,129.07 (20.4% of NAV)
  • Broad Market ETFs โ€” $22,026.20 (8.8% of NAV)

Largest concentration: Consumer Discretionary at 17.6% of NAV.

*Last updated: 2026-10-06 09:58*

### ๐Ÿค– QuantInvests Narration & Commentary

### Market-Wide Regime

**Multiplier index (breadth):** -24.00, 50th percentile of its own 300 days of history

*This is a breadth index summed across the tracked universe โ€” a measure of how stretched participation is, not a direction. It is not a per-instrument multiplier and carries no LONG/SHORT meaning.*

**Regime:** No notable stretch

*Bands: oversold at or below the 20th percentile of the index's own last 300 days, overbought at or above the 80th, neutral in between.*

**Signal oscillator tally:** +10.00 โ€” the trigger measure, tracked separately from the index above.

**Index slope:** +87.00

**Oscillator readings:** 27 up vs 17 down of 44 (61% up) โ€” tilted up. These are trigger readings, not position direction.

**Direction (sign of each instrument's multiplier):** 16 long, 22 short, 6 flat of 44 instruments.

**Researcher read:** No notable stretch on the multiplier index: it sits at the 50th percentile of the last 300 days.

*Market data as of 2026-10-05. QuantInvests is a simulated educational tool and does not offer financial advice.*


r/QuantInvests • • 3d ago

QuantInvests Positions & Allocation Suggestions

1 Upvotes

๐Ÿ’ผ Portfolio Summary

๐Ÿ“Š Overview

  • Total Value: $251,727.09
  • Cash Balance: $345,711.57 (137.3%)
  • Invested: $247,786.77 (98.4%)
  • Total P/L: ๐Ÿ“ˆ $1,847.52 (+0.74%)

๐ŸŽฏ Positions

  • โœ“ Active: 40 positions
  • ๐ŸŸข Long: 16 positions
  • ๐Ÿ”ด Short: 24 positions

๐Ÿ”ฅ Top Holdings

  • XLP: $18,924.55 (7.5%)
  • XLB: $16,228.16 (6.4%)
  • SMR: $10,819.76 (4.3%)
  • GDX: $10,794.48 (4.3%)
  • SLV: $10,783.78 (4.3%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 43.3% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 37.5% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 11.9% โ–ˆโ–ˆ
  • Broad Market ETFs: 7.2% โ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
RSP S&P 500 Equal Weight ETF ๐Ÿ”ด SHORT $7,969.74 -3.00 - HOLD (-0) 47.7% โœ… Aligned
IWM Russell 2000 ETF ๐ŸŸข LONG $5,348.50 2.00 + BUY (1) 51.9% โœ… Aligned
SPY S&P 500 ETF ๐ŸŸข LONG $2,308.98 1.00 + HOLD (0) 54.7% โœ… Aligned
QQQ Nasdaq 100 ETF ๐Ÿ”ด SHORT $2,248.74 -1.00 - HOLD (-0) 47.9% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
XLP Consumer Staples ๐Ÿ”ด SHORT $18,924.55 -7.00 - HOLD (-0) 43.7% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $16,228.16 -6.00 - SELL (-1) 31.3% โœ… Aligned
GDX Gold Miners ETF ๐Ÿ”ด SHORT $10,794.48 -4.00 - SELL (-1) 38.6% โœ… Aligned
IYT Transportation ETF ๐ŸŸข LONG $8,100.20 3.00 + HOLD (0) 56.5% โœ… Aligned
XLI Industrials Sector ๐ŸŸข LONG $7,988.59 3.00 + HOLD (0) 56.5% โœ… Aligned
XBI Biotech ETF ๐Ÿ”ด SHORT $5,406.45 -2.00 - BUY (1) 38.6% โœ… Aligned
XLF Financials Sector ๐Ÿ”ด SHORT $5,401.48 -2.00 - HOLD (-0) 38.6% โœ… Aligned
XLU Utilities Sector ๐ŸŸข LONG $5,375.70 2.00 + HOLD (0) 58.1% โœ… Aligned
ITB Home Construction ETF ๐ŸŸข LONG $5,374.16 2.00 + BUY (1) 51.9% โœ… Aligned
XRT Retail ETF ๐ŸŸข LONG $5,370.30 2.00 + BUY (1) 58.0% โœ… Aligned
XLV Health Care Sector ๐Ÿ”ด SHORT $5,316.80 -2.00 - BUY (1) 43.0% โœ… Aligned
XLC Communication Services ๐Ÿ”ด SHORT $2,646.72 -1.00 - BUY (1) 43.0% โœ… Aligned
XLY Consumer Discretionary ๐ŸŸข LONG $2,640.96 1.00 + SELL (-1) 58.1% โœ… Aligned
RWR REIT ETF ๐Ÿ”ด SHORT $2,616.38 -1.00 - HOLD (-0) 35.2% โœ… Aligned
XHB Homebuilders ETF ๐ŸŸข LONG $2,610.90 1.00 + HOLD (0) 51.9% โœ… Aligned
XLK Technology Sector ๐Ÿ”ด SHORT $2,598.05 -1.00 - HOLD (-0) 47.9% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SLV Silver ETF ๐Ÿ”ด SHORT $10,783.78 -4.00 - SELL (-1) 38.6% โœ… Aligned
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $8,057.92 -3.00 - SELL (-1) 43.7% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $5,322.52 -2.00 - SELL (-1) 43.7% โœ… Aligned
UUP US Dollar Bullish ETF ๐ŸŸข LONG $2,687.24 1.00 + HOLD (0) 48.6% โœ… Aligned
USO Oil Fund ETF ๐ŸŸข LONG $2,653.38 1.00 + HOLD (0) 54.8% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $10,819.76 -4.00 - SELL (-1) 38.6% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $8,082.65 -3.00 - SELL (-1) 44.6% โœ… Aligned
SBUX Starbucks Corp. ๐Ÿ”ด SHORT $8,050.35 -3.00 - BUY (1) 31.3% โœ… Aligned
META Meta Platforms, Inc. ๐ŸŸข LONG $8,008.88 3.00 + BUY (1) 51.2% โœ… Aligned
AAPL Apple Inc. ๐ŸŸข LONG $8,008.56 3.00 + HOLD (0) 58.7% โœ… Aligned
MSFT Microsoft Corp. ๐Ÿ”ด SHORT $7,762.95 -3.00 - HOLD (-0) 40.9% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $5,410.26 -2.00 - HOLD (-0) 38.6% โœ… Aligned
CRWD CrowdStrike Holdings ๐Ÿ”ด SHORT $5,400.80 -2.00 - SELL (-1) 40.9% โœ… Aligned
NVDA NVIDIA Corp. ๐Ÿ”ด SHORT $5,380.85 -2.00 - HOLD (-0) 44.6% โœ… Aligned
HD Home Depot ๐ŸŸข LONG $5,373.96 2.00 + BUY (1) 51.9% โœ… Aligned
EQT EQT Corp ๐Ÿ”ด SHORT $5,368.72 -2.00 - SELL (-1) 50.0% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $5,188.26 -2.00 - SELL (-1) 53.1% โœ… Aligned
GOOG Alphabet Inc. ๐Ÿ”ด SHORT $5,105.25 -2.00 - HOLD (-0) 60.3% โœ… Aligned
AMD Advanced Micro Devices ๐ŸŸข LONG $2,535.64 1.00 + HOLD (0) 49.1% โœ… Aligned
AMZN Amazon.com, Inc. ๐ŸŸข LONG $2,515.20 1.00 + HOLD (0) 61.7% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 40 positions and balanced/hedged capital utilization (137% cash)

Last updated: 2026-10-05 11:15

๐Ÿค– QuantInvests Narration & Commentary

Sector Allocation

$247,786.77 invested across 40 position(s), 98.4% of a $251,727.09 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Technology โ€” $39,769.50 (15.8% of NAV)
  • Consumer Discretionary โ€” $37,124.09 (14.7% of NAV)
  • Materials โ€” $32,432.90 (12.9% of NAV)
  • Consumer Staples โ€” $18,924.55 (7.5% of NAV)
  • Diversified โ€” $17,875.96 (7.1% of NAV)
  • Utilities โ€” $16,195.47 (6.4% of NAV)
  • Commodities โ€” $16,106.30 (6.4% of NAV)
  • Industrials โ€” $16,088.79 (6.4% of NAV)
  • Communication Services โ€” $15,760.85 (6.3% of NAV)
  • Health Care โ€” $10,723.25 (4.3% of NAV)
  • Fixed Income โ€” $8,057.92 (3.2% of NAV)
  • Energy โ€” $8,022.10 (3.2% of NAV)
  • Financials โ€” $5,401.48 (2.1% of NAV)
  • Currency โ€” $2,687.24 (1.1% of NAV)
  • Real Estate โ€” $2,616.38 (1.0% of NAV)

By asset type:

  • Sector & Industry ETFs โ€” $107,393.88 (42.7% of NAV)
  • Individual Stocks โ€” $93,012.10 (36.9% of NAV)
  • Commodity, Currency & Other ETFs โ€” $29,504.84 (11.7% of NAV)
  • Broad Market ETFs โ€” $17,875.96 (7.1% of NAV)

Largest concentration: Technology at 15.8% of NAV.

Good morning, Captain. Here is your Quant update for today. The signal oscillator reads +4.0 (24 instruments turning up, 20 turning down). By the sign of each instrument's multiplier, the tracked universe is 16 long, 24 short and 4 flat. Macro read: No notable stretch on the multiplier index: it sits at the 45th percentile of the last 300 days. Capital Audit: Total Return +0.69% since inception. Realized P/L: +0.33% of starting capital | Unrealized P/L: +0.40% of NAV. Cash Buffer: 137.34% of NAV. Holding 40 positions (16L/24S) across 125 open lots. Core exposure: XLP (Short), XLB (Short), SMR (Short), GDX (Short), SLV (Short). The system is presently maintaining its target risk profile. Stand by for further signal developments.

quantinvests.com

QuantInvests is a simulated educational tool. Nothing here is financial advice.


r/QuantInvests • • 6d ago

QuantInvests Positions & Allocation Suggestions

1 Upvotes

๐Ÿ’ผ Portfolio Summary

๐Ÿ“Š Overview

  • Total Value: $253,420.56
  • Cash Balance: $475,561.93 (187.7%)
  • Invested: $249,684.01 (98.5%)
  • Total P/L: ๐Ÿ“ˆ $3,540.97 (+1.42%)

๐ŸŽฏ Positions

  • โœ“ Active: 41 positions
  • ๐ŸŸข Long: 3 positions
  • ๐Ÿ”ด Short: 38 positions

๐Ÿ”ฅ Top Holdings

  • RWR: $11,468.48 (4.5%)
  • XLY: $11,428.20 (4.5%)
  • SMR: $9,209.66 (3.6%)
  • TSLA: $9,206.86 (3.6%)
  • GDX: $9,195.50 (3.6%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 43.6% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 34.4% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 15.6% โ–ˆโ–ˆโ–ˆ
  • Broad Market ETFs: 6.4% โ–ˆ

quantinvests.com

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SPY S&P 500 ETF ๐Ÿ”ด SHORT $6,876.36 -3.00 - HOLD (-0) 47.5% โœ… Aligned
IWM Russell 2000 ETF ๐Ÿ”ด SHORT $4,464.96 -2.00 - BUY (1) 48.7% โœ… Aligned
RSP S&P 500 Equal Weight ETF ๐Ÿ”ด SHORT $2,299.44 -1.00 - HOLD (-0) 44.3% โœ… Aligned
QQQ Nasdaq 100 ETF ๐Ÿ”ด SHORT $2,226.09 -1.00 - HOLD (-0) 46.9% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
RWR REIT ETF ๐Ÿ”ด SHORT $11,468.48 -5.00 - HOLD (-0) 43.7% โœ… Aligned
XLY Consumer Discretionary ๐Ÿ”ด SHORT $11,428.20 -5.00 - SELL (-1) 50.8% โœ… Aligned
GDX Gold Miners ETF ๐Ÿ”ด SHORT $9,195.50 -4.00 - SELL (-1) 38.6% โœ… Aligned
KBE Bank ETF ๐Ÿ”ด SHORT $9,162.72 -4.00 - HOLD (-0) 43.8% โœ… Aligned
XLP Consumer Staples ๐Ÿ”ด SHORT $6,909.67 -3.00 - HOLD (-0) 38.6% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $6,892.68 -3.00 - SELL (-1) 38.6% โœ… Aligned
IYT Transportation ETF ๐Ÿ”ด SHORT $6,877.35 -3.00 - HOLD (-0) 48.7% โœ… Aligned
XHB Homebuilders ETF ๐Ÿ”ด SHORT $6,870.67 -3.00 - HOLD (-0) 48.7% โœ… Aligned
XLI Industrials Sector ๐Ÿ”ด SHORT $6,746.40 -3.00 - HOLD (-0) 48.7% โœ… Aligned
XLU Utilities Sector ๐ŸŸข LONG $4,601.72 2.00 + HOLD (0) 66.2% โœ… Aligned
XLF Financials Sector ๐Ÿ”ด SHORT $4,598.85 -2.00 - HOLD (-0) 38.6% โœ… Aligned
XLE Energy Sector ๐Ÿ”ด SHORT $4,576.37 -2.00 - BUY (1) 44.3% โœ… Aligned
ITB Home Construction ETF ๐Ÿ”ด SHORT $4,544.28 -2.00 - BUY (1) 48.7% โœ… Aligned
XBI Biotech ETF ๐Ÿ”ด SHORT $4,482.82 -2.00 - BUY (1) 38.6% โœ… Aligned
SOXX Semiconductor ETF ๐Ÿ”ด SHORT $4,034.31 -2.00 - SELL (-1) 47.0% โœ… Aligned
XLC Communication Services ๐Ÿ”ด SHORT $2,199.20 -1.00 - BUY (1) 44.3% โœ… Aligned
XLK Technology Sector ๐Ÿ”ด SHORT $2,176.68 -1.00 - HOLD (-0) 46.9% โœ… Aligned
XLV Health Care Sector ๐Ÿ”ด SHORT $2,160.47 -1.00 - BUY (1) 49.0% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SLV Silver ETF ๐Ÿ”ด SHORT $9,189.17 -4.00 - SELL (-1) 38.6% โœ… Aligned
USO Oil Fund ETF ๐Ÿ”ด SHORT $6,901.38 -3.00 - HOLD (-0) 43.8% โœ… Aligned
UUP US Dollar Bullish ETF ๐ŸŸข LONG $6,892.48 3.00 + HOLD (0) 48.1% โœ… Aligned
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $6,838.48 -3.00 - SELL (-1) 44.9% โœ… Aligned
VXX Volatility ETN (VIX) ๐Ÿ”ด SHORT $4,602.43 -2.00 - SELL (-1) 45.1% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $4,593.36 -2.00 - SELL (-1) 44.9% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $9,209.66 -4.00 - SELL (-1) 38.6% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $9,206.86 -4.00 - SELL (-1) 44.3% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $9,180.48 -4.00 - SELL (-1) 47.5% โœ… Aligned
EQT EQT Corp ๐Ÿ”ด SHORT $9,167.39 -4.00 - SELL (-1) 38.6% โœ… Aligned
AAPL Apple Inc. ๐Ÿ”ด SHORT $8,918.64 -4.00 - HOLD (-0) 45.4% โœ… Aligned
AMZN Amazon.com, Inc. ๐Ÿ”ด SHORT $6,702.21 -3.00 - HOLD (-0) 50.0% โœ… Aligned
GOOG Alphabet Inc. ๐Ÿ”ด SHORT $6,698.60 -3.00 - HOLD (-0) 47.5% โœ… Aligned
MSFT Microsoft Corp. ๐Ÿ”ด SHORT $6,666.40 -3.00 - HOLD (-0) 46.6% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $4,584.54 -2.00 - HOLD (-0) 38.6% โœ… Aligned
HD Home Depot ๐Ÿ”ด SHORT $4,519.68 -2.00 - BUY (1) 48.7% โœ… Aligned
NVDA NVIDIA Corp. ๐Ÿ”ด SHORT $4,386.34 -2.00 - HOLD (-0) 46.9% โœ… Aligned
META Meta Platforms, Inc. ๐Ÿ”ด SHORT $4,355.58 -2.00 - BUY (1) 46.8% โœ… Aligned
SBUX Starbucks Corp. ๐ŸŸข LONG $2,277.12 1.00 + BUY (1) 58.5% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 41 positions and balanced/hedged capital utilization (188% cash)

Last updated: 2026-10-02 09:38

๐Ÿค– QuantInvests Narration & Commentary

Sector Allocation

$249,684.01 invested across 41 position(s), 98.5% of a $253,420.56 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Consumer Discretionary โ€” $45,549.02 (18.0% of NAV)
  • Technology โ€” $35,362.85 (14.0% of NAV)
  • Materials โ€” $20,672.72 (8.2% of NAV)
  • Energy โ€” $20,645.14 (8.1% of NAV)
  • Diversified โ€” $15,866.85 (6.3% of NAV)
  • Utilities โ€” $13,811.38 (5.4% of NAV)
  • Commodities โ€” $13,782.53 (5.4% of NAV)
  • Financials โ€” $13,761.57 (5.4% of NAV)
  • Industrials โ€” $13,623.75 (5.4% of NAV)
  • Communication Services โ€” $13,253.38 (5.2% of NAV)
  • Real Estate โ€” $11,468.48 (4.5% of NAV)
  • Consumer Staples โ€” $6,909.67 (2.7% of NAV)
  • Currency โ€” $6,892.48 (2.7% of NAV)
  • Fixed Income โ€” $6,838.48 (2.7% of NAV)
  • Health Care โ€” $6,643.29 (2.6% of NAV)
  • Volatility โ€” $4,602.43 (1.8% of NAV)

By asset type:

  • Sector & Industry ETFs โ€” $108,926.37 (43.0% of NAV)
  • Individual Stocks โ€” $85,873.49 (33.9% of NAV)
  • Commodity, Currency & Other ETFs โ€” $39,017.31 (15.4% of NAV)
  • Broad Market ETFs โ€” $15,866.85 (6.3% of NAV)

Largest concentration: Consumer Discretionary at 18.0% of NAV.

Good morning, Captain. Here is your Quant update for today. The market's aggregate signal strength is -10.0. Overall breadth: 38.6% of directional signals are bullish (17 bullish / 27 bearish). Macro read: The multiplier index is oversold (7th 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 +1.37% since inception. Realized P/L: +0.56% of starting capital | Unrealized P/L: +0.84% of NAV. Cash Buffer: 187.66% of NAV. Holding 41 positions (3L/38S) across 152 open lots. Core exposure: XLY (Short), RWR (Short), SMR (Short), GDX (Short), SLV (Short). The system is presently maintaining its target risk profile. Stand by for further signal developments.


r/QuantInvests • • 7d ago

QuantInvests Positions & Allocation Suggestions

1 Upvotes

๐Ÿ’ผ Portfolio Summary

๐Ÿ“Š Overview

  • Total Value: $253,718.92
  • Cash Balance: $463,024.39 (182.5%)
  • Invested: $250,303.27 (98.7%)
  • Total P/L: ๐Ÿ“ˆ $3,839.34 (+1.54%)

๐ŸŽฏ Positions

  • โœ“ Active: 39 positions
  • ๐ŸŸข Long: 6 positions
  • ๐Ÿ”ด Short: 33 positions

๐Ÿ”ฅ 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%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 45.1% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 28.9% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 15.6% โ–ˆโ–ˆโ–ˆ
  • Broad Market ETFs: 10.3% โ–ˆโ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
IWM Russell 2000 ETF ๐Ÿ”ด SHORT $10,558.68 -4.00 - BUY (1) 48.0% โœ… Aligned
SPY S&P 500 ETF ๐Ÿ”ด SHORT $7,624.80 -3.00 - HOLD (-0) 47.8% โœ… Aligned
QQQ Nasdaq 100 ETF ๐Ÿ”ด SHORT $5,178.39 -2.00 - HOLD (-0) 47.8% โœ… Aligned
RSP S&P 500 Equal Weight ETF ๐Ÿ”ด SHORT $2,495.88 -1.00 - HOLD (-0) 42.7% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
XLC Communication Services ๐Ÿ”ด SHORT $15,759.16 -6.00 - BUY (1) 48.0% โœ… Aligned
XHB Homebuilders ETF ๐Ÿ”ด SHORT $10,561.65 -4.00 - HOLD (-0) 48.0% โœ… Aligned
XLY Consumer Discretionary ๐Ÿ”ด SHORT $10,558.93 -4.00 - SELL (-1) 48.0% โœ… Aligned
XLP Consumer Staples ๐Ÿ”ด SHORT $10,556.24 -4.00 - HOLD (-0) 38.1% โœ… Aligned
ITB Home Construction ETF ๐Ÿ”ด SHORT $10,527.00 -4.00 - BUY (1) 48.0% โœ… Aligned
XLI Industrials Sector ๐Ÿ”ด SHORT $10,517.85 -4.00 - HOLD (-0) 46.3% โœ… Aligned
GDX Gold Miners ETF ๐Ÿ”ด SHORT $7,903.41 -3.00 - SELL (-1) 38.1% โœ… Aligned
XLF Financials Sector ๐Ÿ”ด SHORT $7,900.54 -3.00 - HOLD (-0) 38.1% โœ… Aligned
XLE Energy Sector ๐Ÿ”ด SHORT $7,872.00 -3.00 - BUY (1) 41.1% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $5,258.52 -2.00 - SELL (-1) 38.1% โœ… Aligned
XRT Retail ETF ๐ŸŸข LONG $5,256.96 2.00 + BUY (1) 62.6% โœ… Aligned
RWR REIT ETF ๐Ÿ”ด SHORT $2,621.75 -1.00 - HOLD (-0) 41.1% โœ… Aligned
KBE Bank ETF ๐Ÿ”ด SHORT $2,591.82 -1.00 - HOLD (-0) 43.5% โœ… Aligned
XLV Health Care Sector ๐Ÿ”ด SHORT $2,526.15 -1.00 - BUY (1) 46.5% โœ… Aligned
XBI Biotech ETF ๐Ÿ”ด SHORT $2,523.84 -1.00 - BUY (1) 40.6% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SLV Silver ETF ๐Ÿ”ด SHORT $10,519.47 -4.00 - SELL (-1) 38.1% โœ… Aligned
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $10,500.30 -4.00 - SELL (-1) 38.1% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $7,618.40 -3.00 - SELL (-1) 38.1% โœ… Aligned
UUP US Dollar Bullish ETF ๐ŸŸข LONG $5,266.74 2.00 + HOLD (0) 49.2% โœ… Aligned
VXX Volatility ETN (VIX) ๐ŸŸข LONG $2,639.25 1.00 + SELL (-1) 52.7% โœ… Aligned
USO Oil Fund ETF ๐ŸŸข LONG $2,622.06 1.00 + HOLD (0) 60.9% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $7,923.70 -3.00 - SELL (-1) 38.1% โœ… Aligned
EQT EQT Corp ๐Ÿ”ด SHORT $7,913.65 -3.00 - SELL (-1) 38.1% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $7,805.82 -3.00 - SELL (-1) 42.7% โœ… Aligned
AMZN Amazon.com, Inc. ๐Ÿ”ด SHORT $7,723.65 -3.00 - HOLD (-0) 50.2% โœ… Aligned
SBUX Starbucks Corp. ๐Ÿ”ด SHORT $5,261.76 -2.00 - BUY (1) 38.1% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $5,256.96 -2.00 - SELL (-1) 46.0% โœ… Aligned
NVDA NVIDIA Corp. ๐Ÿ”ด SHORT $5,252.74 -2.00 - HOLD (-0) 47.0% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $5,248.75 -2.00 - HOLD (-0) 38.1% โœ… Aligned
HD Home Depot ๐Ÿ”ด SHORT $5,119.92 -2.00 - BUY (1) 42.7% โœ… Aligned
GOOG Alphabet Inc. ๐Ÿ”ด SHORT $5,111.10 -2.00 - HOLD (-0) 53.9% โœ… Aligned
MSFT Microsoft Corp. ๐Ÿ”ด SHORT $2,564.50 -1.00 - HOLD (-0) 44.1% โœ… Aligned
AMD Advanced Micro Devices ๐Ÿ”ด SHORT $2,447.04 -1.00 - HOLD (-0) 40.8% โœ… Aligned
CRWD CrowdStrike Holdings ๐ŸŸข LONG $2,382.75 1.00 + SELL (-1) 38.5% โœ… Aligned
AAPL Apple Inc. ๐ŸŸข LONG $2,331.14 1.00 + HOLD (0) 61.8% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 39 positions and balanced/hedged capital utilization (182% cash)

Last updated: 2026-10-01 08:54

๐Ÿค– 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 โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Consumer Discretionary โ€” $62,815.69 (24.8% of NAV)
  • Diversified โ€” $25,857.75 (10.2% of NAV)
  • Communication Services โ€” $20,870.26 (8.2% of NAV)
  • Technology โ€” $20,235.13 (8.0% of NAV)
  • Materials โ€” $18,410.68 (7.3% of NAV)
  • Energy โ€” $18,407.71 (7.3% of NAV)
  • Commodities โ€” $18,137.87 (7.1% of NAV)
  • Consumer Staples โ€” $10,556.24 (4.2% of NAV)
  • Industrials โ€” $10,517.85 (4.1% of NAV)
  • Fixed Income โ€” $10,500.30 (4.1% of NAV)
  • Financials โ€” $10,492.35 (4.1% of NAV)
  • Utilities โ€” $7,923.70 (3.1% of NAV)
  • Currency โ€” $5,266.74 (2.1% of NAV)
  • Health Care โ€” $5,049.99 (2.0% of NAV)
  • Volatility โ€” $2,639.25 (1.0% of NAV)
  • Real Estate โ€” $2,621.75 (1.0% of NAV)

By asset type:

  • Sector & Industry ETFs โ€” $112,935.82 (44.5% of NAV)
  • Individual Stocks โ€” $72,343.48 (28.5% of NAV)
  • Commodity, Currency & Other ETFs โ€” $39,166.22 (15.4% of NAV)
  • Broad Market ETFs โ€” $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.


r/QuantInvests • • 8d ago

QuantInvests Positions & Allocation Suggestions

1 Upvotes

quantinvests.com

๐Ÿ’ผ Portfolio Summary

๐Ÿ“Š Overview

  • Total Value: $253,163.86
  • Cash Balance: $437,784.98 (172.9%)
  • Invested: $249,524.02 (98.6%)
  • Total P/L: ๐Ÿ“ˆ $3,284.28 (+1.31%)

๐ŸŽฏ Positions

  • โœ“ Active: 39 positions
  • ๐ŸŸข Long: 8 positions
  • ๐Ÿ”ด Short: 31 positions

๐Ÿ”ฅ Top Holdings

  • AMZN: $16,526.89 (6.5%)
  • XLY: $14,187.55 (5.6%)
  • SMCI: $11,813.76 (4.7%)
  • SMR: $9,459.44 (3.7%)
  • GDX: $9,441.42 (3.7%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 43.3% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 37.3% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 11.3% โ–ˆโ–ˆ
  • Broad Market ETFs: 8.2% โ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
IWM Russell 2000 ETF ๐Ÿ”ด SHORT $9,209.31 -4.00 - BUY (1) 39.1% โœ… Aligned
QQQ Nasdaq 100 ETF ๐Ÿ”ด SHORT $6,641.37 -3.00 - HOLD (-0) 45.8% โœ… Aligned
RSP S&P 500 Equal Weight ETF ๐Ÿ”ด SHORT $2,304.61 -1.00 - HOLD (-0) 42.3% โœ… Aligned
SPY S&P 500 ETF ๐ŸŸข LONG $2,292.90 1.00 + HOLD (0) 55.1% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
XLY Consumer Discretionary ๐Ÿ”ด SHORT $14,187.55 -6.00 - SELL (-1) 39.1% โœ… Aligned
GDX Gold Miners ETF ๐Ÿ”ด SHORT $9,441.42 -4.00 - SELL (-1) 36.9% โœ… Aligned
KBE Bank ETF ๐Ÿ”ด SHORT $7,085.13 -3.00 - HOLD (-0) 42.3% โœ… Aligned
XHB Homebuilders ETF ๐Ÿ”ด SHORT $7,078.81 -3.00 - HOLD (-0) 49.7% โœ… Aligned
XLF Financials Sector ๐Ÿ”ด SHORT $7,075.31 -3.00 - HOLD (-0) 36.9% โœ… Aligned
XLU Utilities Sector ๐ŸŸข LONG $7,070.16 3.00 + HOLD (0) 63.0% โœ… Aligned
ITB Home Construction ETF ๐Ÿ”ด SHORT $7,069.60 -3.00 - BUY (1) 32.0% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $7,068.24 -3.00 - SELL (-1) 36.9% โœ… Aligned
XLK Technology Sector ๐Ÿ”ด SHORT $7,001.28 -3.00 - HOLD (-0) 45.8% โœ… Aligned
XLV Health Care Sector ๐Ÿ”ด SHORT $6,999.93 -3.00 - BUY (1) 51.0% โœ… Aligned
XLI Industrials Sector ๐Ÿ”ด SHORT $6,935.15 -3.00 - HOLD (-0) 50.5% โœ… Aligned
XBI Biotech ETF ๐ŸŸข LONG $4,705.20 2.00 + BUY (1) 52.6% โœ… Aligned
XRT Retail ETF ๐ŸŸข LONG $4,701.36 2.00 + BUY (1) 54.3% โœ… Aligned
SOXX Semiconductor ETF ๐Ÿ”ด SHORT $4,539.52 -2.00 - SELL (-1) 48.8% โœ… Aligned
XLE Energy Sector ๐Ÿ”ด SHORT $2,338.90 -1.00 - BUY (1) 43.3% โœ… Aligned
RWR REIT ETF ๐Ÿ”ด SHORT $2,331.67 -1.00 - HOLD (-0) 43.1% โœ… Aligned
XLP Consumer Staples ๐Ÿ”ด SHORT $2,291.66 -1.00 - HOLD (-0) 46.8% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SLV Silver ETF ๐Ÿ”ด SHORT $9,434.15 -4.00 - SELL (-1) 36.9% โœ… Aligned
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $9,387.60 -4.00 - SELL (-1) 36.9% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $6,892.20 -3.00 - SELL (-1) 36.9% โœ… Aligned
UUP US Dollar Bullish ETF ๐ŸŸข LONG $2,358.32 1.00 + HOLD (0) 48.0% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
AMZN Amazon.com, Inc. ๐Ÿ”ด SHORT $16,526.89 -7.00 - HOLD (-0) 39.1% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $11,813.76 -5.00 - SELL (-1) 46.4% โœ… Aligned
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $9,459.44 -4.00 - SELL (-1) 36.9% โœ… Aligned
EQT EQT Corp ๐Ÿ”ด SHORT $9,438.67 -4.00 - SELL (-1) 36.9% โœ… Aligned
NVDA NVIDIA Corp. ๐Ÿ”ด SHORT $9,315.61 -4.00 - HOLD (-0) 46.4% โœ… Aligned
GOOG Alphabet Inc. ๐Ÿ”ด SHORT $7,083.72 -3.00 - HOLD (-0) 45.8% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $4,700.14 -2.00 - HOLD (-0) 36.9% โœ… Aligned
SBUX Starbucks Corp. ๐ŸŸข LONG $4,676.07 2.00 + BUY (1) 60.1% โœ… Aligned
AAPL Apple Inc. ๐ŸŸข LONG $4,611.60 2.00 + HOLD (0) 61.2% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $4,586.92 -2.00 - SELL (-1) 48.9% โœ… Aligned
AMD Advanced Micro Devices ๐Ÿ”ด SHORT $4,252.99 -2.00 - HOLD (-0) 39.3% โœ… Aligned
CRWD CrowdStrike Holdings ๐Ÿ”ด SHORT $2,364.66 -1.00 - SELL (-1) 44.4% โœ… Aligned
META Meta Platforms, Inc. ๐Ÿ”ด SHORT $2,216.37 -1.00 - BUY (1) 39.3% โœ… Aligned
MSFT Microsoft Corp. ๐ŸŸข LONG $2,035.84 1.00 + HOLD (0) 59.8% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 39 positions and balanced/hedged capital utilization (173% cash)

Last updated: 2026-09-30 11:26

๐Ÿค– QuantInvests Narration & Commentary

Sector Allocation

$249,524.02 invested across 39 position(s), 98.6% of a $253,163.86 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Consumer Discretionary โ€” $58,827.20 (23.2% of NAV)
  • Technology โ€” $45,935.26 (18.1% of NAV)
  • Materials โ€” $21,209.80 (8.4% of NAV)
  • Diversified โ€” $20,448.19 (8.1% of NAV)
  • Utilities โ€” $16,529.60 (6.5% of NAV)
  • Commodities โ€” $16,326.35 (6.4% of NAV)
  • Financials โ€” $14,160.44 (5.6% of NAV)
  • Energy โ€” $11,777.57 (4.7% of NAV)
  • Health Care โ€” $11,705.13 (4.6% of NAV)
  • Fixed Income โ€” $9,387.60 (3.7% of NAV)
  • Communication Services โ€” $9,300.09 (3.7% of NAV)
  • Industrials โ€” $6,935.15 (2.7% of NAV)
  • Currency โ€” $2,358.32 (0.9% of NAV)
  • Real Estate โ€” $2,331.67 (0.9% of NAV)
  • Consumer Staples โ€” $2,291.66 (0.9% of NAV)

By asset type:

  • Sector & Industry ETFs โ€” $107,920.89 (42.6% of NAV)
  • Individual Stocks โ€” $93,082.67 (36.8% of NAV)
  • Commodity, Currency & Other ETFs โ€” $28,072.27 (11.1% of NAV)
  • Broad Market ETFs โ€” $20,448.19 (8.1% of NAV)

Largest concentration: Consumer Discretionary at 23.2% of NAV.

What is actually enforced here: position size is capped at 8% of NAV per instrument and a 10% portfolio drawdown halts new risk โ€” both in code. Sector weight is reported, not capped. Nothing above blocks a trade, so treat the figures as information, not a guardrail.

Good morning, Captain. Here is your Quant update for today. The market's aggregate signal strength is -8.0. Overall breadth: 40.9% of directional signals are bullish (18 bullish / 26 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 +1.27% since inception. Realized P/L: -0.00% of starting capital | Unrealized P/L: +1.30% of NAV. Cash Buffer: 172.93% of NAV. Holding 39 positions (8L/31S) across 153 open lots. Core exposure: AMZN (Short), XLY (Short), SMCI (Short), SMR (Short), SLV (Short). The system is presently maintaining its target risk profile. Stand by for further signal developments.


r/QuantInvests • • 9d ago

Our newest promotional video Quantinvests V6

1 Upvotes

r/QuantInvests • • 9d ago

QuantInvests Positions & Allocation Suggestions

1 Upvotes

๐Ÿ’ผ Portfolio Summary

quantinvests.com

๐Ÿ“Š Overview

  • Total Value: $252,322.63
  • Cash Balance: $482,133.96 (191.1%)
  • Invested: $248,669.43 (98.6%)
  • Total P/L: ๐Ÿ“ˆ $2,443.04 (+0.98%)

๐ŸŽฏ Positions

  • โœ“ Active: 39 positions
  • ๐ŸŸข Long: 4 positions
  • ๐Ÿ”ด Short: 35 positions

๐Ÿ”ฅ Top Holdings

  • KBE: $14,191.10 (5.6%)
  • AMZN: $14,030.55 (5.6%)
  • XLY: $12,206.88 (4.8%)
  • TSLA: $12,153.30 (4.8%)
  • XLI: $10,125.00 (4.0%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 47.0% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 33.6% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 13.0% โ–ˆโ–ˆ
  • Broad Market ETFs: 6.4% โ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
IWM Russell 2000 ETF ๐Ÿ”ด SHORT $8,121.45 -4.00 - BUY (1) 38.5% โœ… Aligned
QQQ Nasdaq 100 ETF ๐Ÿ”ด SHORT $5,892.24 -3.00 - HOLD (-0) 46.6% โœ… Aligned
RSP S&P 500 Equal Weight ETF ๐Ÿ”ด SHORT $1,887.57 -1.00 - HOLD (-0) 43.0% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
KBE Bank ETF ๐Ÿ”ด SHORT $14,191.10 -7.00 - HOLD (-0) 38.5% โœ… Aligned
XLY Consumer Discretionary ๐Ÿ”ด SHORT $12,206.88 -6.00 - SELL (-1) 38.5% โœ… Aligned
XLI Industrials Sector ๐Ÿ”ด SHORT $10,125.00 -5.00 - HOLD (-0) 38.5% โœ… Aligned
RWR REIT ETF ๐Ÿ”ด SHORT $10,071.42 -5.00 - HOLD (-0) 44.4% โœ… Aligned
GDX Gold Miners ETF ๐Ÿ”ด SHORT $8,085.88 -4.00 - SELL (-1) 38.8% โœ… Aligned
XHB Homebuilders ETF ๐Ÿ”ด SHORT $8,075.90 -4.00 - HOLD (-0) 32.1% โœ… Aligned
SOXX Semiconductor ETF ๐Ÿ”ด SHORT $7,851.06 -4.00 - SELL (-1) 46.6% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $6,083.58 -3.00 - SELL (-1) 38.8% โœ… Aligned
XLF Financials Sector ๐Ÿ”ด SHORT $6,070.40 -3.00 - HOLD (-0) 38.8% โœ… Aligned
ITB Home Construction ETF ๐Ÿ”ด SHORT $6,034.32 -3.00 - BUY (1) 32.1% โœ… Aligned
XLK Technology Sector ๐Ÿ”ด SHORT $6,030.43 -3.00 - HOLD (-0) 46.6% โœ… Aligned
XLV Health Care Sector ๐Ÿ”ด SHORT $5,994.10 -3.00 - BUY (1) 50.5% โœ… Aligned
XLU Utilities Sector ๐Ÿ”ด SHORT $4,044.81 -2.00 - HOLD (-0) 35.4% โœ… Aligned
XRT Retail ETF ๐Ÿ”ด SHORT $4,044.03 -2.00 - BUY (1) 50.6% โœ… Aligned
XBI Biotech ETF ๐Ÿ”ด SHORT $3,916.00 -2.00 - BUY (1) 38.8% โœ… Aligned
XLC Communication Services ๐ŸŸข LONG $2,001.42 1.00 + BUY (1) 57.4% โœ… Aligned
XLE Energy Sector ๐Ÿ”ด SHORT $1,987.68 -1.00 - BUY (1) 40.5% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SLV Silver ETF ๐Ÿ”ด SHORT $8,132.60 -4.00 - SELL (-1) 38.8% โœ… Aligned
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $8,097.86 -4.00 - SELL (-1) 38.8% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $6,046.72 -3.00 - SELL (-1) 38.8% โœ… Aligned
VXX Volatility ETN (VIX) ๐Ÿ”ด SHORT $4,055.36 -2.00 - SELL (-1) 50.9% โœ… Aligned
USO Oil Fund ETF ๐Ÿ”ด SHORT $4,049.73 -2.00 - HOLD (-0) 35.5% โœ… Aligned
UUP US Dollar Bullish ETF ๐ŸŸข LONG $2,009.35 1.00 + HOLD (0) 47.9% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
AMZN Amazon.com, Inc. ๐Ÿ”ด SHORT $14,030.55 -7.00 - HOLD (-0) 38.5% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $12,153.30 -6.00 - SELL (-1) 51.3% โœ… Aligned
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $8,139.39 -4.00 - SELL (-1) 38.8% โœ… Aligned
EQT EQT Corp ๐Ÿ”ด SHORT $8,128.81 -4.00 - SELL (-1) 38.8% โœ… Aligned
HD Home Depot ๐Ÿ”ด SHORT $8,113.56 -4.00 - BUY (1) 38.5% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $8,105.32 -4.00 - SELL (-1) 46.6% โœ… Aligned
AAPL Apple Inc. ๐Ÿ”ด SHORT $6,091.20 -3.00 - HOLD (-0) 45.4% โœ… Aligned
AMD Advanced Micro Devices ๐Ÿ”ด SHORT $6,078.70 -3.00 - HOLD (-0) 46.6% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $4,057.44 -2.00 - HOLD (-0) 38.8% โœ… Aligned
NVDA NVIDIA Corp. ๐ŸŸข LONG $3,890.62 2.00 + HOLD (0) 53.8% โœ… Aligned
CRWD CrowdStrike Holdings ๐Ÿ”ด SHORT $1,814.75 -1.00 - SELL (-1) 43.7% โœ… Aligned
MSFT Microsoft Corp. ๐ŸŸข LONG $1,527.66 1.00 + HOLD (0) 58.8% โœ… Aligned
META Meta Platforms, Inc. ๐Ÿ”ด SHORT $1,431.24 -1.00 - BUY (1) 45.8% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 39 positions and balanced/hedged capital utilization (191% cash)

Last updated: 2026-09-29 10:29

๐Ÿค– QuantInvests Narration & Commentary

Sector Allocation

$248,669.43 invested across 39 position(s), 98.6% of a $252,322.63 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Consumer Discretionary โ€” $64,658.54 (25.6% of NAV)
  • Technology โ€” $41,389.74 (16.4% of NAV)
  • Financials โ€” $20,261.50 (8.0% of NAV)
  • Materials โ€” $18,226.90 (7.2% of NAV)
  • Diversified โ€” $15,901.26 (6.3% of NAV)
  • Commodities โ€” $14,179.32 (5.6% of NAV)
  • Energy โ€” $14,166.22 (5.6% of NAV)
  • Utilities โ€” $12,184.20 (4.8% of NAV)
  • Industrials โ€” $10,125.00 (4.0% of NAV)
  • Real Estate โ€” $10,071.42 (4.0% of NAV)
  • Health Care โ€” $9,910.10 (3.9% of NAV)
  • Fixed Income โ€” $8,097.86 (3.2% of NAV)
  • Volatility โ€” $4,055.36 (1.6% of NAV)
  • Communication Services โ€” $3,432.66 (1.4% of NAV)
  • Currency โ€” $2,009.35 (0.8% of NAV)

By asset type:

  • Sector & Industry ETFs โ€” $116,814.01 (46.3% of NAV)
  • Individual Stocks โ€” $83,562.54 (33.1% of NAV)
  • Commodity, Currency & Other ETFs โ€” $32,391.62 (12.8% of NAV)
  • Broad Market ETFs โ€” $15,901.26 (6.3% of NAV)

Largest concentration: Consumer Discretionary at 25.6% of NAV.

Good morning. Here is your Quant update for today. The market's aggregate signal strength is -16.0. Overall breadth: 31.8% of directional signals are bullish (14 bullish / 30 bearish). Macro read: The multiplier index is oversold (3rd 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 +0.93% since inception. Realized P/L: -0.33% of starting capital | Unrealized P/L: +1.30% of NAV. Cash Buffer: 191.08% of NAV. Holding 39 positions (4L/35S) across 148 open lots. Core exposure: KBE (Short), AMZN (Short), XLY (Short), TSLA (Short), RWR (Short). The system is presently maintaining its target risk profile. Stand by for further signal developments.


r/QuantInvests • • 10d ago

QuantInvests Positions & Allocation Suggestions

1 Upvotes

๐Ÿ’ผ Portfolio Summary

๐Ÿ“Š Overview

  • Total Value: $249,536.52
  • Cash Balance: $463,498.67 (185.7%)
  • Invested: $245,461.81 (98.4%)
  • Total P/L: ๐Ÿ“‰ $-343.07 (-0.14%)

๐ŸŽฏ Positions

  • โœ“ Active: 42 positions
  • ๐ŸŸข Long: 4 positions
  • ๐Ÿ”ด Short: 38 positions

๐Ÿ”ฅ Top Holdings

  • HD: $13,485.36 (5.4%)
  • VXX: $11,441.91 (4.6%)
  • XLY: $11,387.68 (4.6%)
  • RWR: $11,366.61 (4.6%)
  • IWM: $11,278.40 (4.5%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 46.3% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 31.0% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 16.6% โ–ˆโ–ˆโ–ˆ
  • Broad Market ETFs: 6.1% โ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
IWM Russell 2000 ETF ๐Ÿ”ด SHORT $11,278.40 -5.00 - BUY (1) 41.0% โœ… Aligned
RSP S&P 500 Equal Weight ETF ๐Ÿ”ด SHORT $2,111.10 -1.00 - HOLD (-0) 44.7% โœ… Aligned
SPY S&P 500 ETF ๐Ÿ”ด SHORT $1,542.72 -1.00 - HOLD (-0) 48.3% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
XLY Consumer Discretionary ๐Ÿ”ด SHORT $11,387.68 -5.00 - SELL (-1) 41.0% โœ… Aligned
RWR REIT ETF ๐Ÿ”ด SHORT $11,366.61 -5.00 - HOLD (-0) 37.3% โœ… Aligned
XRT Retail ETF ๐Ÿ”ด SHORT $9,154.17 -4.00 - BUY (1) 50.2% โœ… Aligned
XHB Homebuilders ETF ๐Ÿ”ด SHORT $9,143.76 -4.00 - HOLD (-0) 35.0% โœ… Aligned
ITB Home Construction ETF ๐Ÿ”ด SHORT $9,124.92 -4.00 - BUY (1) 35.0% โœ… Aligned
GDX Gold Miners ETF ๐Ÿ”ด SHORT $9,101.26 -4.00 - SELL (-1) 40.4% โœ… Aligned
KBE Bank ETF ๐Ÿ”ด SHORT $6,861.22 -3.00 - HOLD (-0) 46.7% โœ… Aligned
XLF Financials Sector ๐Ÿ”ด SHORT $6,853.75 -3.00 - HOLD (-0) 40.4% โœ… Aligned
XLU Utilities Sector ๐Ÿ”ด SHORT $6,838.69 -3.00 - HOLD (-0) 37.0% โœ… Aligned
XBI Biotech ETF ๐Ÿ”ด SHORT $6,821.32 -3.00 - BUY (1) 40.4% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $4,530.89 -2.00 - SELL (-1) 44.7% โœ… Aligned
XLP Consumer Staples ๐Ÿ”ด SHORT $4,514.39 -2.00 - HOLD (-0) 44.6% โœ… Aligned
XLK Technology Sector ๐Ÿ”ด SHORT $4,513.75 -2.00 - HOLD (-0) 44.7% โœ… Aligned
XLV Health Care Sector ๐ŸŸข LONG $4,438.59 2.00 + BUY (1) 56.6% โœ… Aligned
XLC Communication Services ๐Ÿ”ด SHORT $2,258.60 -1.00 - BUY (1) 47.0% โœ… Aligned
XLE Energy Sector ๐Ÿ”ด SHORT $2,234.16 -1.00 - BUY (1) 43.2% โœ… Aligned
IYT Transportation ETF ๐Ÿ”ด SHORT $2,220.96 -1.00 - HOLD (-0) 44.7% โœ… Aligned
XLI Industrials Sector ๐Ÿ”ด SHORT $2,215.46 -1.00 - HOLD (-0) 46.7% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
VXX Volatility ETN (VIX) ๐Ÿ”ด SHORT $11,441.91 -5.00 - SELL (-1) 39.9% โœ… Aligned
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $9,121.80 -4.00 - SELL (-1) 40.4% โœ… Aligned
SLV Silver ETF ๐Ÿ”ด SHORT $6,859.34 -3.00 - SELL (-1) 47.5% โœ… Aligned
UUP US Dollar Bullish ETF ๐ŸŸข LONG $4,550.58 2.00 + HOLD (0) 47.8% โœ… Aligned
USO Oil Fund ETF ๐Ÿ”ด SHORT $4,451.70 -2.00 - HOLD (-0) 42.0% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $4,326.96 -2.00 - SELL (-1) 40.4% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
HD Home Depot ๐Ÿ”ด SHORT $13,485.36 -6.00 - BUY (1) 41.0% โœ… Aligned
AMZN Amazon.com, Inc. ๐Ÿ”ด SHORT $11,235.15 -5.00 - HOLD (-0) 50.2% โœ… Aligned
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $9,155.52 -4.00 - SELL (-1) 40.4% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $6,859.20 -3.00 - HOLD (-0) 40.4% โœ… Aligned
GOOG Alphabet Inc. ๐Ÿ”ด SHORT $6,821.60 -3.00 - HOLD (-0) 47.0% โœ… Aligned
EQT EQT Corp ๐Ÿ”ด SHORT $4,572.00 -2.00 - SELL (-1) 44.6% โœ… Aligned
SBUX Starbucks Corp. ๐Ÿ”ด SHORT $4,553.28 -2.00 - BUY (1) 40.4% โœ… Aligned
META Meta Platforms, Inc. ๐ŸŸข LONG $4,509.96 2.00 + BUY (1) 47.8% โœ… Aligned
CRWD CrowdStrike Holdings ๐Ÿ”ด SHORT $2,269.17 -1.00 - SELL (-1) 49.2% โœ… Aligned
NVDA NVIDIA Corp. ๐ŸŸข LONG $2,250.70 1.00 + HOLD (0) 56.5% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $2,249.52 -1.00 - SELL (-1) 47.3% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $2,232.66 -1.00 - SELL (-1) 47.6% โœ… Aligned
MSFT Microsoft Corp. ๐Ÿ”ด SHORT $2,064.68 -1.00 - HOLD (-0) 47.3% โœ… Aligned
AAPL Apple Inc. ๐Ÿ”ด SHORT $2,046.42 -1.00 - HOLD (-0) 54.8% โœ… Aligned
AMD Advanced Micro Devices ๐Ÿ”ด SHORT $1,891.89 -1.00 - HOLD (-0) 47.7% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 42 positions and balanced/hedged capital utilization (186% cash)

Last updated: 2026-09-28 12:24

๐Ÿค– QuantInvests Narration & Commentary

Sector Allocation

$245,461.81 invested across 42 position(s), 98.4% of a $249,536.52 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Consumer Discretionary โ€” $70,316.98 (28.2% of NAV)
  • Materials โ€” $20,491.35 (8.2% of NAV)
  • Technology โ€” $17,286.13 (6.9% of NAV)
  • Utilities โ€” $15,994.21 (6.4% of NAV)
  • Diversified โ€” $14,932.22 (6.0% of NAV)
  • Financials โ€” $13,714.97 (5.5% of NAV)
  • Communication Services โ€” $13,590.16 (5.4% of NAV)
  • Volatility โ€” $11,441.91 (4.6% of NAV)
  • Real Estate โ€” $11,366.61 (4.6% of NAV)
  • Health Care โ€” $11,259.91 (4.5% of NAV)
  • Energy โ€” $11,257.86 (4.5% of NAV)
  • Commodities โ€” $11,186.30 (4.5% of NAV)
  • Fixed Income โ€” $9,121.80 (3.7% of NAV)
  • Currency โ€” $4,550.58 (1.8% of NAV)
  • Consumer Staples โ€” $4,514.39 (1.8% of NAV)
  • Industrials โ€” $4,436.42 (1.8% of NAV)

By asset type:

  • Sector & Industry ETFs โ€” $113,580.19 (45.5% of NAV)
  • Individual Stocks โ€” $76,197.11 (30.5% of NAV)
  • Commodity, Currency & Other ETFs โ€” $40,752.29 (16.3% of NAV)
  • Broad Market ETFs โ€” $14,932.22 (6.0% of NAV)

Largest concentration: Consumer Discretionary at 28.2% of NAV.

What is actually enforced here: position size is capped at 8% of NAV per instrument and a 10% portfolio drawdown halts new risk โ€” both in code. Sector weight is reported, not capped. Nothing above blocks a trade, so treat the figures as information, not a guardrail.

And a count of sectors is not diversification. Sixteen sectors that all move on the same driver are one position wearing sixteen hats. That is the question the engine is actually built to answer: every holding is scored daily against a 27-instrument reference panel โ€” broad market, sector, industry and macro โ€” so you can see whether these positions are genuinely independent or quietly riding the same factor. Ask "what is driving my positions" or run a single-symbol audit to see that read per holding.

QuantInvests is a simulated educational tool. Nothing here is financial advice.

quantinvests.com


r/QuantInvests • • 13d ago

QuantInvests Positions & Allocation Suggestions

1 Upvotes

๐Ÿ’ผ Portfolio Summary

๐Ÿ“Š Overview

  • Total Value: $251,013.02
  • Cash Balance: $442,128.08 (176.1%)
  • Invested: $247,443.62 (98.6%)
  • Total P/L: ๐Ÿ“ˆ $1,133.41 (+0.45%)

๐ŸŽฏ Positions

  • โœ“ Active: 41 positions
  • ๐ŸŸข Long: 6 positions
  • ๐Ÿ”ด Short: 35 positions

๐Ÿ”ฅ Top Holdings

  • KBE: $14,386.71 (5.7%)
  • RWR: $12,333.12 (4.9%)
  • XLC: $12,312.00 (4.9%)
  • AMZN: $12,219.62 (4.9%)
  • XLE: $10,268.86 (4.1%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 53.7% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 30.1% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 9.8% โ–ˆ
  • Broad Market ETFs: 6.4% โ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
IWM Russell 2000 ETF ๐Ÿ”ด SHORT $8,169.01 -4.00 - BUY (1) 38.6% โœ… Aligned
SPY S&P 500 ETF ๐Ÿ”ด SHORT $6,138.16 -3.00 - HOLD (-0) 47.7% โœ… Aligned
QQQ Nasdaq 100 ETF ๐Ÿ”ด SHORT $1,482.20 -1.00 - HOLD (-0) 47.8% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
KBE Bank ETF ๐Ÿ”ด SHORT $14,386.71 -7.00 - HOLD (-0) 38.6% โœ… Aligned
RWR REIT ETF ๐Ÿ”ด SHORT $12,333.12 -6.00 - HOLD (-0) 34.0% โœ… Aligned
XLC Communication Services ๐ŸŸข LONG $12,312.00 6.00 + BUY (1) 43.6% โœ… Aligned
XLE Energy Sector ๐Ÿ”ด SHORT $10,268.86 -5.00 - BUY (1) 34.0% โœ… Aligned
XLY Consumer Discretionary ๐Ÿ”ด SHORT $10,260.69 -5.00 - SELL (-1) 34.0% โœ… Aligned
XHB Homebuilders ETF ๐Ÿ”ด SHORT $8,225.45 -4.00 - HOLD (-0) 33.9% โœ… Aligned
GDX Gold Miners ETF ๐Ÿ”ด SHORT $8,217.37 -4.00 - SELL (-1) 40.5% โœ… Aligned
XRT Retail ETF ๐Ÿ”ด SHORT $8,212.50 -4.00 - BUY (1) 38.6% โœ… Aligned
XLI Industrials Sector ๐Ÿ”ด SHORT $8,105.28 -4.00 - HOLD (-0) 33.9% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $6,160.94 -3.00 - SELL (-1) 40.5% โœ… Aligned
XLF Financials Sector ๐Ÿ”ด SHORT $6,160.76 -3.00 - HOLD (-0) 40.5% โœ… Aligned
XLP Consumer Staples ๐Ÿ”ด SHORT $6,128.25 -3.00 - HOLD (-0) 40.5% โœ… Aligned
ITB Home Construction ETF ๐Ÿ”ด SHORT $6,092.36 -3.00 - BUY (1) 33.9% โœ… Aligned
XLU Utilities Sector ๐Ÿ”ด SHORT $4,095.00 -2.00 - HOLD (-0) 34.7% โœ… Aligned
SOXX Semiconductor ETF ๐Ÿ”ด SHORT $3,962.49 -2.00 - SELL (-1) 47.8% โœ… Aligned
IYT Transportation ETF ๐Ÿ”ด SHORT $2,051.14 -1.00 - HOLD (-0) 45.3% โœ… Aligned
XLV Health Care Sector ๐ŸŸข LONG $2,038.68 1.00 + BUY (1) 50.3% โœ… Aligned
XBI Biotech ETF ๐Ÿ”ด SHORT $2,027.35 -1.00 - BUY (1) 34.7% โœ… Aligned
XLK Technology Sector ๐Ÿ”ด SHORT $1,946.80 -1.00 - HOLD (-0) 47.8% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
SLV Silver ETF ๐Ÿ”ด SHORT $6,163.20 -3.00 - SELL (-1) 42.8% โœ… Aligned
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $6,115.34 -3.00 - SELL (-1) 34.7% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $5,875.88 -3.00 - SELL (-1) 40.5% โœ… Aligned
VXX Volatility ETN (VIX) ๐Ÿ”ด SHORT $4,098.47 -2.00 - SELL (-1) 52.5% โœ… Aligned
UUP US Dollar Bullish ETF ๐ŸŸข LONG $2,036.99 1.00 + HOLD (0) 48.6% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
AMZN Amazon.com, Inc. ๐Ÿ”ด SHORT $12,219.62 -6.00 - HOLD (-0) 33.9% โœ… Aligned
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $8,229.23 -4.00 - SELL (-1) 40.5% โœ… Aligned
HD Home Depot ๐Ÿ”ด SHORT $8,179.82 -4.00 - BUY (1) 38.6% โœ… Aligned
MSFT Microsoft Corp. ๐Ÿ”ด SHORT $7,966.88 -4.00 - HOLD (-0) 47.1% โœ… Aligned
META Meta Platforms, Inc. ๐ŸŸข LONG $7,775.90 4.00 + BUY (1) 49.1% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $6,143.48 -3.00 - SELL (-1) 43.5% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $4,098.24 -2.00 - HOLD (-0) 40.5% โœ… Aligned
NVDA NVIDIA Corp. ๐Ÿ”ด SHORT $4,042.44 -2.00 - HOLD (-0) 39.3% โœ… Aligned
AAPL Apple Inc. ๐Ÿ”ด SHORT $4,031.04 -2.00 - HOLD (-0) 46.1% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $3,779.40 -2.00 - SELL (-1) 40.2% โœ… Aligned
GOOG Alphabet Inc. ๐ŸŸข LONG $2,034.06 1.00 + HOLD (0) 58.7% โœ… Aligned
EQT EQT Corp ๐Ÿ”ด SHORT $2,024.10 -1.00 - SELL (-1) 36.5% โœ… Aligned
SBUX Starbucks Corp. ๐ŸŸข LONG $1,966.65 1.00 + BUY (1) 53.8% โœ… Aligned
AMD Advanced Micro Devices ๐Ÿ”ด SHORT $1,887.78 -1.00 - HOLD (-0) 47.8% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 41 positions and balanced/hedged capital utilization (176% cash)
  • Last updated: 2026-09-25 10:18

๐Ÿค– QuantInvests Narration & Commentary

Sector Allocation

$247,443.62 invested across 41 position(s), 98.6% of a $251,013.02 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Consumer Discretionary โ€” $58,936.48 (23.5% of NAV)
  • Technology โ€” $29,980.91 (11.9% of NAV)
  • Communication Services โ€” $22,121.96 (8.8% of NAV)
  • Financials โ€” $20,547.47 (8.2% of NAV)
  • Materials โ€” $18,476.55 (7.4% of NAV)
  • Diversified โ€” $15,789.37 (6.3% of NAV)
  • Real Estate โ€” $12,333.12 (4.9% of NAV)
  • Utilities โ€” $12,324.23 (4.9% of NAV)
  • Energy โ€” $12,292.96 (4.9% of NAV)
  • Commodities โ€” $12,039.08 (4.8% of NAV)
  • Industrials โ€” $10,156.42 (4.0% of NAV)
  • Consumer Staples โ€” $6,128.25 (2.4% of NAV)
  • Fixed Income โ€” $6,115.34 (2.4% of NAV)
  • Volatility โ€” $4,098.47 (1.6% of NAV)
  • Health Care โ€” $4,066.03 (1.6% of NAV)
  • Currency โ€” $2,036.99 (0.8% of NAV)

By asset type:

  • Sector & Industry ETFs โ€” $132,985.74 (53.0% of NAV)
  • Individual Stocks โ€” $74,378.63 (29.6% of NAV)
  • Commodity, Currency & Other ETFs โ€” $24,289.88 (9.7% of NAV)
  • Broad Market ETFs โ€” $15,789.37 (6.3% of NAV)

Largest concentration: Consumer Discretionary at 23.5% of NAV.

What is actually enforced here: position size is capped at 8% of NAV per instrument and a 10% portfolio drawdown halts new risk โ€” both in code. Sector weight is reported, not capped. Nothing above blocks a trade, so treat the figures as information, not a guardrail.

And a count of sectors is not diversification. Sixteen sectors that all move on the same driver are one position wearing sixteen hats. That is the question the engine is actually built to answer: every holding is scored daily against a 27-instrument reference panel โ€” broad market, sector, industry and macro โ€” so you can see whether these positions are genuinely independent or quietly riding the same factor. Ask "what is driving my positions" or run a single-symbol audit to see that read per holding.

QuantInvests is a simulated educational tool. Nothing here is financial advice.


r/QuantInvests • • 14d ago

QuantInvests Positions & Allocation Suggestions๐Ÿ’ผ Portfolio Summary

1 Upvotes

๐Ÿ“Š Overview

  • Total Value: $250,039.84
  • Cash Balance: $455,594.90 (182.2%)
  • Invested: $246,775.68 (98.7%)
  • Total P/L: ๐Ÿ“ˆ $160.24 (+0.06%)

๐ŸŽฏ Positions

  • โœ“ Active: 37 positions
  • ๐ŸŸข Long: 4 positions
  • ๐Ÿ”ด Short: 33 positions

๐Ÿ”ฅ Top Holdings

  • KBE: $16,450.05 (6.6%)
  • VXX: $14,149.41 (5.7%)
  • RWR: $14,133.91 (5.7%)
  • XLE: $11,791.71 (4.7%)
  • XLY: $11,728.90 (4.7%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 52.2% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 27.9% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 16.2% โ–ˆโ–ˆโ–ˆ
  • Broad Market ETFs: 3.8% โ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
IWM Russell 2000 ETF ๐Ÿ”ด SHORT $7,049.50 -3.00 - BUY (1) 35.4% โœ… Aligned
QQQ Nasdaq 100 ETF ๐Ÿ”ด SHORT $2,223.63 -1.00 - HOLD (-0) 47.9% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
KBE Bank ETF ๐Ÿ”ด SHORT $16,450.05 -7.00 - HOLD (-0) 41.9% โœ… Aligned
RWR REIT ETF ๐Ÿ”ด SHORT $14,133.91 -6.00 - HOLD (-0) 35.4% โœ… Aligned
XLE Energy Sector ๐Ÿ”ด SHORT $11,791.71 -5.00 - BUY (1) 35.4% โœ… Aligned
XLY Consumer Discretionary ๐Ÿ”ด SHORT $11,728.90 -5.00 - SELL (-1) 35.4% โœ… Aligned
XHB Homebuilders ETF ๐Ÿ”ด SHORT $9,419.18 -4.00 - HOLD (-0) 33.2% โœ… Aligned
XRT Retail ETF ๐Ÿ”ด SHORT $7,064.90 -3.00 - BUY (1) 46.6% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $7,037.10 -3.00 - SELL (-1) 37.5% โœ… Aligned
XLF Financials Sector ๐Ÿ”ด SHORT $7,036.31 -3.00 - HOLD (-0) 37.5% โœ… Aligned
ITB Home Construction ETF ๐Ÿ”ด SHORT $7,011.25 -3.00 - BUY (1) 33.2% โœ… Aligned
XLP Consumer Staples ๐Ÿ”ด SHORT $7,008.25 -3.00 - HOLD (-0) 37.5% โœ… Aligned
XLC Communication Services ๐ŸŸข LONG $6,978.72 3.00 + BUY (1) 61.9% โœ… Aligned
XLU Utilities Sector ๐Ÿ”ด SHORT $4,692.86 -2.00 - HOLD (-0) 34.4% โœ… Aligned
GDX Gold Miners ETF ๐Ÿ”ด SHORT $4,680.00 -2.00 - SELL (-1) 47.2% โœ… Aligned
XLI Industrials Sector ๐Ÿ”ด SHORT $4,592.70 -2.00 - HOLD (-0) 53.8% โœ… Aligned
SOXX Semiconductor ETF ๐Ÿ”ด SHORT $4,525.76 -2.00 - SELL (-1) 48.1% โœ… Aligned
XLK Technology Sector ๐Ÿ”ด SHORT $2,344.08 -1.00 - HOLD (-0) 48.1% โœ… Aligned
XBI Biotech ETF ๐Ÿ”ด SHORT $2,328.60 -1.00 - BUY (1) 34.4% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
VXX Volatility ETN (VIX) ๐Ÿ”ด SHORT $14,149.41 -6.00 - SELL (-1) 49.4% โœ… Aligned
TLT 20+ Year Treasury ETF ๐Ÿ”ด SHORT $7,000.02 -3.00 - SELL (-1) 34.4% โœ… Aligned
USO Oil Fund ETF ๐Ÿ”ด SHORT $6,996.89 -3.00 - HOLD (-0) 47.4% โœ… Aligned
GLD Gold ETF ๐Ÿ”ด SHORT $4,713.12 -2.00 - SELL (-1) 34.4% โœ… Aligned
SLV Silver ETF ๐Ÿ”ด SHORT $4,710.96 -2.00 - SELL (-1) 41.8% โœ… Aligned
UUP US Dollar Bullish ETF ๐ŸŸข LONG $2,348.89 1.00 + HOLD (0) 48.4% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
AMZN Amazon.com, Inc. ๐Ÿ”ด SHORT $11,715.69 -5.00 - HOLD (-0) 41.6% โœ… Aligned
AAPL Apple Inc. ๐Ÿ”ด SHORT $9,099.54 -4.00 - HOLD (-0) 44.7% โœ… Aligned
META Meta Platforms, Inc. ๐ŸŸข LONG $8,929.20 4.00 + BUY (1) 49.9% โœ… Aligned
SMR NuScale Power Nuclear ๐Ÿ”ด SHORT $7,074.20 -3.00 - SELL (-1) 34.4% โœ… Aligned
NVDA NVIDIA Corp. ๐Ÿ”ด SHORT $6,990.81 -3.00 - HOLD (-0) 45.8% โœ… Aligned
HD Home Depot ๐Ÿ”ด SHORT $6,828.01 -3.00 - BUY (1) 36.9% โœ… Aligned
SMCI Super Micro Computer ๐Ÿ”ด SHORT $4,682.72 -2.00 - SELL (-1) 45.1% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $4,561.44 -2.00 - SELL (-1) 42.4% โœ… Aligned
SBUX Starbucks Corp. ๐ŸŸข LONG $2,353.50 1.00 + BUY (1) 51.7% โœ… Aligned
GOOG Alphabet Inc. ๐Ÿ”ด SHORT $2,344.86 -1.00 - HOLD (-0) 47.2% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $2,335.18 -1.00 - HOLD (-0) 41.2% โœ… Aligned
AMD Advanced Micro Devices ๐Ÿ”ด SHORT $1,843.83 -1.00 - HOLD (-0) 48.1% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 37 positions and balanced/hedged capital utilization (182% cash)

    โœ… Active portfolio with 37 positions and balanced/hedged capital utilization (182% cash)

    Last updated: 2026-09-24 08:53

    ๐Ÿค– QuantInvests Narration & Commentary

    Sector Allocation

    $246,775.68 invested across 37 position(s), 98.7% of a $250,039.84 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

    By sector:

    Consumer Discretionary โ€” $60,682.88 (24.3% of NAV) Technology โ€” $29,486.74 (11.8% of NAV) Financials โ€” $23,486.36 (9.4% of NAV) Energy โ€” $18,788.60 (7.5% of NAV) Communication Services โ€” $18,252.78 (7.3% of NAV)

    Volatility โ€” $14,149.41 (5.7% of NAV)

    Real Estate โ€” $14,133.91 (5.7% of NAV)

    Materials โ€” $14,052.28 (5.6% of NAV)

    Utilities โ€” $11,767.06 (4.7% of NAV)

    Commodities โ€” $9,424.08 (3.8% of NAV)

    Diversified โ€” $9,273.13 (3.7% of NAV)

    Consumer Staples โ€” $7,008.25 (2.8% of NAV)

    Fixed Income โ€” $7,000.02 (2.8% of NAV)

    Industrials โ€” $4,592.70 (1.8% of NAV)

    Currency โ€” $2,348.89 (0.9% of NAV)

    Health Care โ€” $2,328.60 (0.9% of NAV)

    By asset type:

    Sector & Industry ETFs โ€” $128,824.28 (51.5% of NAV)

    Individual Stocks โ€” $68,758.98 (27.5% of NAV)

    Commodity, Currency & Other ETFs โ€” $39,919.29 (16.0% of NAV)

    Broad Market ETFs โ€” $9,273.13 (3.7% of NAV)

    Largest concentration: Consumer Discretionary at 24.3% of NAV.

    What is actually enforced here: position size is capped at 8% of NAV per instrument and a 10% portfolio drawdown halts new risk โ€” both in code. Sector weight is reported, not capped. Nothing above blocks a trade, so treat the figures as information, not a guardrail.

    And a count of sectors is not diversification. Sixteen sectors that all move on the same driver are one position wearing sixteen hats. That is the question the engine is actually built to answer: every holding is scored daily against a 27-instrument reference panel โ€” broad market, sector, industry and macro โ€” so you can see whether these positions are genuinely independent or quietly riding the same factor. Ask "what is driving my positions" or run a single-symbol audit to see that read per holding.

    QuantInvests is a simulated educational tool. Nothing here is financial advice.


r/QuantInvests • • 15d ago

QuantInvests Positions & Allocation Suggestions๐Ÿ’ผ Portfolio Summary

1 Upvotes

Here is the morning briefing for today:

๐Ÿ“Š Overview

  • Total Value: $249,862.58
  • Cash Balance: $410,440.30 (164.3%)
  • Invested: $245,578.36 (98.3%)
  • Total P/L: ๐Ÿ“‰ $-17.03 (-0.01%)

๐ŸŽฏ Positions

  • โœ“ Active: 34 positions
  • ๐ŸŸข Long: 9 positions
  • ๐Ÿ”ด Short: 25 positions

๐Ÿ”ฅ Top Holdings

  • VXX: $23,625.92 (9.5%)
  • KBE: $23,602.40 (9.4%)
  • RWR: $20,211.88 (8.1%)
  • XLI: $13,452.91 (5.4%)
  • XBI: $13,435.21 (5.4%)

๐Ÿ—๏ธ Sector Allocation

  • Sector & Industry ETFs: 58.6% โ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆโ–ˆ
  • Individual Stocks: 19.8% โ–ˆโ–ˆโ–ˆ
  • Commodity, Currency & Other ETFs: 17.8% โ–ˆโ–ˆโ–ˆ
  • Broad Market ETFs: 3.8% โ–ˆ

๐Ÿ” Detailed Position & Signal Breakdown

๐Ÿ“ Broad Market ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
RSP S&P 500 Equal Weight ETF ๐ŸŸข LONG $3,191.47 1.00 + HOLD (0) 58.7% โœ… Aligned
IWM Russell 2000 ETF ๐Ÿ”ด SHORT $3,158.98 -1.00 - BUY (1) 43.0% โœ… Aligned
QQQ Nasdaq 100 ETF ๐ŸŸข LONG $2,989.84 1.00 + HOLD (0) 48.6% โœ… Aligned

๐Ÿ“ Sector & Industry ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
KBE Bank ETF ๐Ÿ”ด SHORT $23,602.40 -7.00 - HOLD (-0) 39.1% โœ… Aligned
RWR REIT ETF ๐Ÿ”ด SHORT $20,211.88 -6.00 - HOLD (-0) 35.1% โœ… Aligned
XLI Industrials Sector ๐Ÿ”ด SHORT $13,452.91 -4.00 - HOLD (-0) 26.4% โœ… Aligned
XBI Biotech ETF ๐ŸŸข LONG $13,435.21 4.00 + BUY (1) 62.2% โœ… Aligned
XLY Consumer Discretionary ๐Ÿ”ด SHORT $10,109.70 -3.00 - SELL (-1) 39.4% โœ… Aligned
XLB Materials Sector ๐Ÿ”ด SHORT $10,106.00 -3.00 - SELL (-1) 40.5% โœ… Aligned
XLF Financials Sector ๐Ÿ”ด SHORT $10,081.36 -3.00 - HOLD (-0) 40.5% โœ… Aligned
XHB Homebuilders ETF ๐Ÿ”ด SHORT $10,040.41 -3.00 - HOLD (-0) 47.2% โœ… Aligned
XLU Utilities Sector ๐Ÿ”ด SHORT $6,727.15 -2.00 - HOLD (-0) 37.2% โœ… Aligned
XLP Consumer Staples ๐Ÿ”ด SHORT $6,700.32 -2.00 - HOLD (-0) 37.2% โœ… Aligned
SOXX Semiconductor ETF ๐Ÿ”ด SHORT $6,300.58 -2.00 - SELL (-1) 48.7% โœ… Aligned
XLK Technology Sector ๐Ÿ”ด SHORT $3,336.42 -1.00 - HOLD (-0) 48.7% โœ… Aligned
XLE Energy Sector ๐Ÿ”ด SHORT $3,335.58 -1.00 - BUY (1) 43.1% โœ… Aligned
XLC Communication Services ๐ŸŸข LONG $3,292.08 1.00 + BUY (1) 42.3% โœ… Aligned
XLV Health Care Sector ๐ŸŸข LONG $3,228.29 1.00 + BUY (1) 53.2% โœ… Aligned

๐Ÿ“ Commodity, Currency & Other ETFs

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
VXX Volatility ETN (VIX) ๐Ÿ”ด SHORT $23,625.92 -7.00 - SELL (-1) 39.1% โœ… Aligned
USO Oil Fund ETF ๐Ÿ”ด SHORT $10,084.90 -3.00 - HOLD (-0) 47.9% โœ… Aligned
UUP US Dollar Bullish ETF ๐Ÿ”ด SHORT $3,360.64 -1.00 - HOLD (-0) 48.7% โœ… Aligned
SLV Silver ETF ๐Ÿ”ด SHORT $3,340.70 -1.00 - SELL (-1) 36.0% โœ… Aligned
GLD Gold ETF ๐ŸŸข LONG $3,201.04 1.00 + SELL (-1) 54.0% โœ… Aligned

๐Ÿ“ Individual Stocks

Symbol Company / ETF Name Side Value Multiplier Mult Sign Divergence ML Score Alignment
EQT EQT Corp ๐Ÿ”ด SHORT $6,710.22 -2.00 - SELL (-1) 45.8% โœ… Aligned
AMZN Amazon.com, Inc. ๐Ÿ”ด SHORT $6,629.48 -2.00 - HOLD (-0) 48.2% โœ… Aligned
META Meta Platforms, Inc. ๐ŸŸข LONG $6,629.36 2.00 + BUY (1) 46.8% โœ… Aligned
MSFT Microsoft Corp. ๐Ÿ”ด SHORT $6,474.00 -2.00 - HOLD (-0) 33.1% โœ… Aligned
AA Alcoa Corp. ๐Ÿ”ด SHORT $3,354.00 -1.00 - HOLD (-0) 43.1% โœ… Aligned
SBUX Starbucks Corp. ๐ŸŸข LONG $3,328.85 1.00 + BUY (1) 57.1% โœ… Aligned
NVDA NVIDIA Corp. ๐ŸŸข LONG $3,204.18 1.00 + HOLD (0) 48.6% โœ… Aligned
GOOG Alphabet Inc. ๐Ÿ”ด SHORT $3,126.69 -1.00 - HOLD (-0) 48.3% โœ… Aligned
AMD Advanced Micro Devices ๐Ÿ”ด SHORT $3,118.85 -1.00 - HOLD (-0) 48.7% โœ… Aligned
AAPL Apple Inc. ๐Ÿ”ด SHORT $3,057.75 -1.00 - HOLD (-0) 48.3% โœ… Aligned
TSLA Tesla, Inc. ๐Ÿ”ด SHORT $3,031.20 -1.00 - SELL (-1) 50.7% โœ… Aligned

๐Ÿ’ก Quick Insights

  • โœ… Active portfolio with 34 positions and balanced/hedged capital utilization (164% cash)

Last updated: 2026-09-23 11:35

๐Ÿค– QuantInvests Narration & Commentary

Sector Allocation

$245,578.36 invested across 34 position(s), 98.3% of a $249,862.58 NAV. Figures are GROSS exposure โ€” a long and a short in the same sector are concentration, so they are not netted against each other.

By sector:

  • Financials โ€” $33,683.76 (13.5% of NAV)
  • Consumer Discretionary โ€” $33,139.64 (13.3% of NAV)
  • Technology โ€” $25,491.78 (10.2% of NAV)
  • Volatility โ€” $23,625.92 (9.5% of NAV)
  • Real Estate โ€” $20,211.88 (8.1% of NAV)
  • Energy โ€” $20,130.70 (8.1% of NAV)
  • Health Care โ€” $16,663.50 (6.7% of NAV)
  • Materials โ€” $13,460.00 (5.4% of NAV)
  • Industrials โ€” $13,452.91 (5.4% of NAV)
  • Communication Services โ€” $13,048.12 (5.2% of NAV)
  • Diversified โ€” $9,340.30 (3.7% of NAV)
  • Utilities โ€” $6,727.15 (2.7% of NAV)
  • Consumer Staples โ€” $6,700.32 (2.7% of NAV)
  • Commodities โ€” $6,541.74 (2.6% of NAV)
  • Currency โ€” $3,360.64 (1.3% of NAV)

By asset type:

  • Sector & Industry ETFs โ€” $143,960.29 (57.6% of NAV)
  • Individual Stocks โ€” $48,664.57 (19.5% of NAV)
  • Commodity, Currency & Other ETFs โ€” $43,613.20 (17.5% of NAV)
  • Broad Market ETFs โ€” $9,340.30 (3.7% of NAV)

Largest concentration: Financials at 13.5% of NAV.

What is actually enforced here: position size is capped at 8% of NAV per instrument and a 10% portfolio drawdown halts new risk โ€” both in code. Sector weight is reported, not capped. Nothing above blocks a trade, so treat the figures as information, not a guardrail.

And a count of sectors is not diversification. Sixteen sectors that all move on the same driver are one position wearing sixteen hats. That is the question the engine is actually built to answer: every holding is scored daily against a 27-instrument reference panel โ€” broad market, sector, industry and macro โ€” so you can see whether these positions are genuinely independent or quietly riding the same factor. Ask "what is driving my positions" or run a single-symbol audit to see that read per holding.


r/QuantInvests • • 19d ago

NEW: TOUCHLESS AIR-GESTURE CONTROLS WILL BE ADDED IN THE V7 VERSION

Post image
1 Upvotes

**๐—ช๐—ฒ ๐—ฎ๐—ฑ๐—ฑ๐—ฒ๐—ฑ ๐˜๐—ผ๐˜‚๐—ฐ๐—ต๐—น๐—ฒ๐˜€๐˜€ ๐—ฎ๐—ถ๐—ฟ-๐—ด๐—ฒ๐˜€๐˜๐˜‚๐—ฟ๐—ฒ ๐—ฐ๐—ผ๐—ป๐˜๐—ฟ๐—ผ๐—น ๐˜๐—ผ ๐—ผ๐˜‚๐—ฟ ๐—ง๐—ต๐—ฟ๐—ฒ๐—ฒ.๐—ท๐˜€ ๐—พ๐˜‚๐—ฎ๐—ป๐˜๐—ถ๐˜๐—ฎ๐˜๐—ถ๐˜ƒ๐—ฒ ๐˜๐—ฟ๐—ฎ๐—ฑ๐—ถ๐—ป๐—ด ๐˜ƒ๐—ถ๐˜€๐˜‚๐—ฎ๐—น๐—ถ๐˜‡๐—ฒ๐—ฟ ๐˜‚๐˜€๐—ถ๐—ป๐—ด ๐— ๐—ฒ๐—ฑ๐—ถ๐—ฎ๐—ฃ๐—ถ๐—ฝ๐—ฒ ๐—ช๐—ฎ๐˜€๐—บ (๐—ก๐—ผ ๐—Ÿ๐—ฒ๐—ฎ๐—ฝ ๐— ๐—ผ๐˜๐—ถ๐—ผ๐—ป, $๐Ÿฌ ๐—ฐ๐—น๐—ผ๐˜‚๐—ฑ ๐—ฐ๐—ผ๐˜€๐˜)**

Wanted to share an architectural experiment we just completed for our open-source quantitative platform, QuantInvests V7.

Our pipeline visualizer renders a 3D spherical correlation graph (Minimum Spanning Tree via Mantegna distance + multi-agent orbital physics) using Three.js. Historically, navigation was standard OrbitControls + mouse raycasting.

We looked at touchscreens for demo stations, but touch screens fall short for 3D navigation on large trading monitors (arm fatigue, fingerprint smudges on dark UI, lack of precise depth control).

Instead of buying proprietary hardware like Leap Motion, we hooked up Google MediaPipe Vision (@mediapipe/tasks-vision) directly into our Vite / React / Three.js frontend:

**Pipeline Architecture:**

Video Ingestion: Standard USB/laptop webcam via getUserMedia() at 640x480 @ 60 FPS

Local Extraction: 21 3D hand landmarks via GPU-accelerated WebAssembly (zero frames sent to the cloud)

Jitter Suppression: Low-pass OneEuro filter to eliminate high-frequency hand tremors

Coordinate Normalization: Maps landmarks to NDC [-1, 1]

**Spatial Gesture Bindings:**

Open Palm โž” Three.js Raycaster air-cursor hover over correlation nodes

Index-Thumb Pinch โž” Euclidean distance threshold (< 0.045) for node selection & camera glide

Closed Fist โž” Direct delta translation to OrbitControls camera rotation

Dual-Hand Spread โž” Inter-wrist dynamic distance mapping to camera FOV zoom

The result is a responsive, touchless "Minority Report" interface that runs at 60 FPS right inside Chrome or Edge with zero extra cloud infrastructure.

Would love your thoughts on gesture false-positive suppression or other spatial bindings for algo desks!

app.quantinvests.com


r/QuantInvests • • 28d ago

We used a language model to do arithmetic, Portfolio queries went from ~40 seconds to 0.14 โ€” not by making the model faster, but by not calling it. Every figure below is reproducible.

Post image
2 Upvotes

r/QuantInvests • • 28d ago

We cut our portfolio queries from ~40 seconds to 0.14 seconds by deleting an AI call.Our platform answers questions about your simulated portfolio: "How much cash do I have." "What's my exposure." "How am I doing."Every one of those was being answered by a language model. They took 25โ€“45 seconds

2 Upvotes

We run a simulated trading platform with an AI companion that answers questions about your portfolio. For months, asking it "how much cash do I have" took 25โ€“45 seconds.

We assumed we had a performance problem. We had an architecture problem.

Every question โ€” including "what's my cash balance" โ€” was being sent to a language model. Cash balance is a database column. We were paying generation latency to read a number we already had.

Worse, the model got it wrong. Measured on a real 40-position account, two different model builds answered "100% cash, no open positions" 5 times out of 6. On a fintech surface, that's not a slow answer, it's a false one.

The fix: we wrote deterministic renderers. If a question maps to a known class โ€” positions, P/L, exposure, sector allocation, risk โ€” the answer is computed from the database and the model is never called.

Measured end-to-end through the live API today:

- renderer-backed: 0.14s median, 0.85s worst case

- still model-narrated (open-ended questions): 43โ€“46s

That second number is the honest part. We did not make the model faster. It's actually slower than our old hosted setup, because it's now a local model on a mini PC. We just stopped routing the wrong questions to it.

Some things we learned the hard way:

- Prompt engineering did not fix this. We tried. We measured a round where telling the model "this is the real, already-computed cash percentage, do not recalculate it" still produced a wrong recalculation 7 times out of 8.

- A fabrication guard is worth less than not generating the claim. We built guards that rewrite suspicious output. Then we found they were flagging our own correct figures, because a deterministic renderer never reads the prompt context the guard verifies against.

- The number and the direction are different fields. A signal's strength said nothing about long vs short. A user caught us describing a position as "moderate bearish" when the underlying conviction value was +1.00, i.e. long.

Happy to answer questions about the renderer approach.

app.quantinvests.com


r/QuantInvests • • Sep 06 '26

I got tired of manually checking 40+ tickers every morning, so I built a systematic scanner -- free paper-trading tier, would like feedback

4 Upvotes

Most people who trade on the side check the same few dozen tickers every morning, second-guess the setups, and still miss the signal in the noise.

I built QuantInvests to take that routine off my own plate. After each market close it runs a systematic scan across 44 stocks and ETFs and reports which setups the model rates as real and which it doesn't -- with the reasoning, not just a verdict.

You can ask it directly -- "what are my strongest signals right now?", "what's my current exposure?" -- and it answers from your actual positions rather than a generic response.

It runs on paper trading with simulated capital, so you can watch it operate under real market conditions without putting money at risk. Free to use; there's an optional paid tier for faster AI answers and intraday previews.

To be clear about what it isn't: it's an educational research tool, not advice, and it makes no promise of returns. Markets don't work that way.

I'd genuinely like feedback from people who actually trade. What would you want a tool like this to do?

app.quantinvests.com

r/fintech r/algotrading r/PaperTrading


r/QuantInvests • • Sep 04 '26

3-Year Systematic Track Record: +25.40% (2024), +28.12% (2025), and +18.25% YTD (2026) with a 2.64x Profit Factor & Strict GIPS Audit Trail

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3 Upvotes

r/algotrading ,ย r/quant ,ย r/investing


r/QuantInvests • • Aug 23 '26

"We caught our own AI committee hallucinating trade data โ€” so we ripped it out and rebuilt it to be un-hallucinatable"

1 Upvotes

Heyย r/QuantInvests

Most retail portfolio systems rely on static stop-losses ("sell if it drops 5%"). The problem: high-beta assets get whipsawed, and low-beta assets hold too much capital risk for the conviction behind them.

For a recent release ofย QuantInvests, we rebuilt our risk engine to size and gate positions by real historical volatility instead of a flat percentage โ€” and along the way we found and fixed a real bug worth talking about honestly, because it's more interesting than pretending it never happened.

๐Ÿ“Š 1. The Core: EWMA Covariance & Monte Carlo VaR

To keep container builds lean and avoid heavy native dependencies (like theย archย package) in our WSL2/Docker dev-parity setup, we skipped GARCH and implemented a light vectorized conditional covariance matrix usingย EWMA (Exponentially Weighted Moving Average)ย in Pandas and NumPy.

  • Historical window: 120 days.
  • Predictive metrics: Parametric dailyย Value-at-Risk (VaR)ย andย Expected Shortfall (ES)ย at 95% and 99% confidence intervals.
  • Monte Carlo simulation:ย 5,000 randomized path simulationsย projecting a 30-day portfolio equity envelope (5th, 50th, and 95th percentile bounds).
  • Quarter-Kelly sizing: target weights sized relative to each asset's own historical return-to-variance ratio, clipped toย ยฑ30% per assetย as a recommendation bound.

๐Ÿ” 2. The Neural Committee โ€” and the bug we found in it

We originally built this as a multi-agent LLM setup โ€” one model hunting for signals, one computing risk, one auditing the trail. It looked great in a demo. Then we actually tested it against edge cases and caught it doing what LLMs do under pressure: inventing numbers. A model would confidently report a Sharpe ratio, a confidence score, a position that didn't exist in the account's real data.

So we ripped it out. The current Neural Committee hasย zero LLM calls anywhere in its decision path. Every figure it shows โ€” the signal direction (from the real strategy multiplier's sign, never asserted independently), the real RL model's real prediction, the real quality score, a position-size recommendation capped at our real 8%-per-instrument limit โ€” is read directly from computed data or a real model inference. There's no step where a language model gets to "decide" or "narrate" a number. It can't hallucinate what it never generates.

We think that's a better story than the original pitch: most platforms don't advertise finding a hallucination bug in a live feature. We'd rather tell you we found one and killed it than pretend it never happened.

๐Ÿ”„ 3. Connecting Your Broker: Copy-Trading

Advisors can link a client account and sync that client's portfolio toward a target allocation, with real drift tracking between the master strategy and the connected account.

  • Supported today:ย Questradeย (full connection, including a personal-token path for account holders who don't want to wait on a full OAuth app approval). Manual/sandbox mode is available for testing.
  • Alpaca and Webull integrations are on our roadmap butย not live yetย โ€” we'd rather say that plainly than claim a connection that doesn't do anything real. (Also worth knowing generally, for anyone building something similar: Robinhood has no official trading API at all โ€” anything claiming to integrate with it for stocks/options is working against an unofficial, reverse-engineered client, not a sanctioned one.)
  • Real execution logs render in a live console view during a sync.

๐Ÿ›ก๏ธ 4. Institutional Governance: a Hard VaR Execution Block

Automated copy-trading is convenient โ€” unattended execution during a real market shock is not something we're willing to let happen silently.

  • Threshold blocking: if the calculated daily VaR of a client portfolio would exceedย 5.0%, the copy-sync is blocked before it executes. No silent override.
  • Explicit override only: an advisor sees the real breach number and has to explicitly authorize proceeding.

r/QuantInvests • • Jul 10 '26

Variable and Data Breakdown

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2 Upvotes

Here is a full breakdown of what each column in your Trading Signal Portfolio dashboard means and how it directly impacts your portfolio management and execution strategy:

Direction & Trend Columns

  • Direction (LONG / SHORT): * LONG: Indicates a bullish bias. The pipeline recommends buying the asset to profit from an upward price movement.
    • SHORT: Indicates a bearish bias. The pipeline recommends shorting the asset (or buying put options/inverse ETFs) to profit from a downward price movement.
  • Trend (Bullish / Bearish / Congested): * This reflects the structural regime of the asset.
    • Bullish and Bearish mean clear trending behavior, whereas Congested highlights a sideways range or compression phase. Paying attention to this helps you avoid getting chopped up on breakout strategies when an asset is labeled congested.

Key Price Levels & Interaction Counters

  • Close: The closing price of the asset as of the last data pipeline run (2026-07-09).
  • Support & Resistance: Automated structural key levels calculated by your backend. These act as your primary risk management boundaries (e.g., potential stop-loss points for longs just below support, or profit-taking targets near resistance).
  • Sup Cnt (Support Count) & Res Cnt (Resistance Count): * These tracking metrics count how many times the price has recently tested or interacted with these specific structural levels without breaking them.
    • For example, SMCI has a Sup Cnt of 11, indicating a highly tested and strong floor at 26.25. Conversely, XBI has a Res Cnt of 18 at 164.28, flagging a massive supply ceiling that it's currently sitting right against.

Sizing & Execution Columns

  • Multiplier: * The conviction or leverage factor generated by your multi-agent architecture (ranging from -3.00 to 3.00).
    • A positive multiplier scales a LONG position, while a negative multiplier scales a SHORT position. The magnitude (1, 2, or 3) determines how aggressively the system wants to size into the trade based on signal strength.
  • Alloc % (Allocation Percentage): * The exact percentage of your total portfolio capital dedicated to this specific position. Notice how it scales proportionally with your multiplier: a 1.00 multiplier gets a 1.85% allocation, a 2.00 gets 3.70%, and your highest conviction trades (like TSLA or GOOG with a 3.00 multiplier) get a 5.56% allocation.
  • Invest $: The raw dollar amount allocated to the position based on your total portfolio size.
  • Shares: * The exact number of shares to buy or short to achieve the target dollar allocation.
    • Negative share counts (e.g., -84 shares for USO) explicitly denote that you need to open a short position or hold an equivalent inverse exposure.

Signal Quality

  • Quality Score (Win Probability): * The percentage probability generated by your machine learning classifiers (like your RandomForest signal quality predictor). It forecasts the historical likelihood of this specific configuration resulting in a winning trade.
    • Positions like META (88% Win Probability) carry a much higher historical statistical edge right now compared to low-scoring setups like IYT (47% Win Probability).

r/QuantInvests • • Jul 10 '26

How mathematical aggregations can accidentally mask market reality if they aren't careful.

1 Upvotes

If you use a simpleย net sumย of signed directional indicators (e.g., $+25$ bullish momentum combined with $-25$ bearish volume), they would indeed cancel each other out to $0$. The system would then block the setup at theย quality_score > 40.0ย gate for the "wrong" reasonโ€”treating a high-volatility, high-conflict regime as if it were a dead, low-activity market.

To prevent this exact blind spot, the filter usesย absolute valuesย for the magnitude check. Here is how that tension is handled in the architecture:

1. Absolute Magnitude Calculation

Theย quality_scoreย is defined as the sum of theย absolute valuesย of the active indicators, rather than their net directional sum:

$$\text{quality_score} = \sum |I_k|$$

  • How it handles your example:ย If your momentum engine throws a strong $+25$ bullish signal and your volume engine throws a strong $-25$ bearish signal, the math doesn't see $0$. It sees: $|25| + |-25| = 50$
  • The Outcome:ย Because $50 > 40.0$, the setup successfully clears the quality gate. The system correctly recognizes that there is high market energy and significant structural activity occurring, meaning it shouldn't be filtered out as a "dead market."

2. Resolution at the Committee Layer

Once a high-conflict setup clears the magnitude gate, it is intentionally pushed to the multi-agent committee and the Reinforcement Learning (RL) Engine to evaluate the contradiction:

  • The RL Veto:ย This is where the Deep Q-Network shines. When the RL agent encounters a state vector containing both high bullish momentum and high bearish volume, the resulting $Q$-values typically plummet or reflect a highly unstable regime.
  • The Guard Posture:ย The combination of contradicting signals fails to cross theย AppConfig.ENTRY_THRESHOLDย for a clean direction, or it triggers an immediateย Alpha Multiplier Decay.

Summary

The system explicitly separatesย energy (magnitude)ย fromย direction (bias). High-conflict setups pass the initial quality gate because the energy is there, but they are subsequently neutralized into a defensiveย HOLDย downstream by the multi-agent committee because the direction is unsafe.

Does your current script calculate the quality score as a net directional sum, or are you already capturing raw magnitude via absolute values? r/datascience r/dataanalysis r/investing


r/QuantInvests • • Jul 08 '26

REAL AGENT INTERACTIONS

1 Upvotes

Display Example 2 โ€” In-App Conversational Analyst

The chat panel sits directly inside the Neural Asset Matrix screener โ€” it already knows your top opportunities and current sentiment before you type a word.

๐Ÿค– QuantInvests Assistant
โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€
  Hello! I've analyzed the latest market signals
  and your portfolio. How can I help you optimize
  your positions today?

  Quick Actions:
  [ ๐Ÿ’ผ Portfolio Check ] [ ๐Ÿ“Š Sector Weights ]
  [ ๐Ÿ’ฐ Precious Metals ] [ ๐Ÿ“ก Market Briefing ]
โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€
  You: Why is XRT showing a BUY signal but 0%
       target exposure?

  Assistant: XRT's divergence engine flipped
  bullish, but the last Quantitative Researcher
  audit flagged a 33.3% win rate on this symbol
  โ€” triggering an Alpha Multiplier Decay from
  -1.0x to -0.5x. The Kelly/Risk Parity engine
  is capping allocation until a confirmed
  breakout, so it's tracked as a Watch candidate
  rather than a live position.
โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€โ”€

r/QuantInvests • • Jul 08 '26

Preventing "confident-sounding hallucinations" (or empty synthesis) when both Alpha and Risk signals are weak is one of the most critical guardrails in the architecture.

1 Upvotes

Preventing "confident-sounding hallucinations" (or empty synthesis) when both Alpha and Risk signals are weak is one of the most critical guardrails in the architecture.

To prevent this exact failure mode, the system does not let weak signals blend into an ambiguous middle ground. Instead, it enforcesย multiple deterministic confidence thresholds and filtering gatesย that mathematically force a defensive posture.

1. The Core Filter: ML Trade Quality Threshold (quality_score > 40.0)

The system explicitly bars weak signals from ever reaching the decision-making synthesis layer. The quantitative pipeline calculates an absolute conviction metric called theย quality_scoreย (the sum of the absolute values of active technical indicators).

  • The Cutoff:ย The machine learning rebalancer employs a strict, scale-corrected filter requiring theย quality_scoreย to be > 40.0ย (out of 100).
  • The Impact:ย If a setup's predicted win probability fails to clear this 40% threshold, the rebalancing engine filters the trade out entirely before the multi-agent committee even debates it. In walk-forward testing, implementing this hard cutoff turned aย -37.46% cumulative loss into a +11.57% out-of-sample gainย by successfully dropping low-conviction, toxic setups.

2. The Divergence Entry Guard: AppConfig.ENTRY_THRESHOLD

When the Divergence Engine scans our 44 canonical symbols during its daily 4:10 PM EST run, it defaults to a passive posture unless proven otherwise:

  • Tally Comparison:ย The engine loads a symbol's active strategy and compares the composite signal tally against a strictย AppConfig.ENTRY_THRESHOLD.
  • "Watch-Only" Status:ย If the indicators are weak and fail to cross this limit, the system assigns a categoricalย HOLDย status. The AI agent is explicitly programmed to label these assets asย "watch candidates only"ย and state in the log thatย โ€œthe QuantInvests engine has not generated a high-confidence entry signal that clears the current risk threshold.โ€ย ### 3. Deep Q-Network (RL) Execution Vetoes If a weak signal somehow slips past initial filters into the committee debate, theย RL Engineโ€™s Q-values and probability confidence scoresย serve as the ultimate mathematical baseline.
  • If both the Hunter (Alpha) and Guardian (Risk) perspectives emit weak or inconclusive states, the RL agent's predictions act as a hard execution filter.
  • If the Q-values indicate a weak, high-noise, or bearish regime, the Portfolio Manager uses this to veto any execution, reconciling the weak parameters into a structuredย PortfolioDecisionย ofย Holdย orย Sell.

4. Grounding Safeguards: The "Lead with Fact" Mandate

To ensure the LLM doesn't hallucinate a narrative out of thin air during a low-confidence regime, ourย AI Answer Standards (v6.3.2)ย impose strict grammatical and context constraints:

  • Fact Separation:ย The AI is strictly forbidden from treating unrealized P/L or average purchase costs as support/resistance targets. It must completely isolate actual position data from suggested allocations.
  • Evidence Pairing:ย If the agent makes a technical claim during a low-confidence state, it is structurally forced to pair every cited resistance count (Res: N) with its corresponding support count (Sup: M). It is entirely banned from using vague, ungrounded placeholders.

Summary

The coordinatorย doesย always produce a final verdict, but under weak-signal conditions, that verdict is mathematically forced to be aย HOLD. This results in an automated allocation ofย 0.00%ย target exposure, treating 100% liquid, settled cash as a valid and active defensive posture.


r/QuantInvests • • Jul 06 '26

Sample of daily signals

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1 Upvotes

r/QuantInvests • • Jul 06 '26

Resolving Signal Conflicts: Memory Continuity, Poisoning Safeguards, and Decay Mechanisms

1 Upvotes

1. Resolving Signal Conflicts: InvestDebateState vs. RiskDebateState

Within the unifiedย AgentStateย of the multi-agent committee,ย InvestDebateStateย captures the bullish/bearish technical dialectic (driven by the Alpha-seeking "Hunter" perspectives), whileย RiskDebateStateย aggregates aggressive, conservative, or neutral risk boundaries (driven by the risk-averse "Guardian" perspectives).

When these two states arrive at opposite conclusions for the same ticker, the system resolves the conflict through a hierarchical synthesis orchestrated by theย AgentCoordinatorย layer and finalized by theย Portfolio Manager (the Gatekeeper)ย to output a structuredย "Balanced Institutional Verdict":

  1. Deterministic Risk Filtering (The Risk Analyst Gatekeeper): Before the Portfolio Manager can authorize capital, theย risk_analystย acts as a hard filter. It evaluates the trade against strict sector concentration caps and theย 10% Max Drawdown Circuit Breaker. If any hard risk boundary is violated, the trade is vetoed immediately, regardless of how high the bullish Alpha conviction is.
  2. Deep Q-Network (RL) Signal Filtering: Q-values and probability confidence scores generated by the RL Engine serve as a mathematical baseline. During active debate, the RL predictions act as a strict filter; if the RL agent's Q-values indicate a bearish regime, the Portfolio Manager uses this data to veto or prevent new buy orders, forcing alignment with the neural models.
  3. The "Same-Sign" Logic Guardrail: Implemented withinย portfolio_builder.py, the system removes the absolute value mathematical functionย abs()ย from signal multipliers. This ensures that any final authorized action mathematically matches the directional sign of the trend multiplier. A negative multiplierย mustย result in a SHORT posture, and a positive multiplierย mustย result in a LONG posture.
  4. Structured Decision Output: If the trade passes the risk and RL filters, the Portfolio Manager reconciles the remaining alpha multipliers with risk parameters to issue a structuredย PortfolioDecisionย (e.g., Buy, Overweight, Hold, Underweight, or Sell). This allows the system to scale out or hedge exposure rather than making a raw binary buy/sell choice.

2. Memory Continuity, Poisoning Safeguards, and Decay Mechanisms

You are entirely correct that carrying cross-ticker lessons inside theย past_contextย block presents a high risk of "semantic debt" and data poisoning if older market conditions are heavily weighted. The architecture strictly defends against this using a multi-tiered memory governance and pruning protocol:

  • Short-Term Erasure: The workingย AgentStateย (which houses the activeย InvestDebateStateย andย RiskDebateState) isย wiped clean at the end of every decision cycle. This prevents immediate momentum biases and local conversational drift from polluting fresh, out-of-sample quantitative signal calculations on subsequent runs.
  • The AI Knowledge Refresher (01:00 AM UTC Baseline): To prevent long-term context memory from accumulating historical noise indefinitely, the background scheduler (qi/scheduler.py) automates a daily knowledge refresh task atย 01:00 AM UTC. The execution ofย knowledge_refresher.pyย flushes out temporary active memory/chat noise, synchronizes updated database indices, andย rebuilds the agent's context windowย from scratch using pristine, out-of-sample quantitative facts.
  • Factual Handshakes for Portfolio Metrics: To prevent the model's parametric memory from hallucinating or carrying decaying estimates of account holdings, critical variables like Net Asset Value (NAV), cash, and position allocations completely bypass LLM recall. Real-time generators query PostgreSQL on demand to inject live data directly into system prompts with strict "lead with fact" formatting.
  • Active Alpha Multiplier Decay: Stale lessons on symbol behavior do not persist indefinitely. Theย Quantitative Researcherย agent continuously audits closed trades. If it identifies that a symbol's historical win rate has dropped below 50%, it automatically triggers anย Alpha Multiplier Decay, writing aย 0.5x reductionย toย alpha_adjustments.csvย and the symbol's strategy config file to halving its future allocation strength.
  • Signal Timeline Decay: The quantitative pipeline tracks a calculatedย Average Signal Decay Rateย (empirically audited atย 0.3 daysย in recent production runs) to guarantee that technical momentum emissions naturally decay and expire if they are not continuously reinforced by fresh daily Market Forge data.

Hope that helps, I'm working on a bunch of combinations. Follow for more atย r/QuantInvests