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Saved ScreensPre-Defined Screens
   
This is a group of ETF screens based on rotation. The models use screens to define an ETF universe (U.S., international, and so forth) and then uses an ETF ranking system to sort.


Premium Access Only Universal ETF Rotation
 5 year return: 104.57%
 3 year return: 96.68%
 1 year return: -14.88%
 Stats as of: Feb 1, 2012

 Description...
 
 Type: ETF
 Holding Period: Weekly
 Slippage: 0.25%
 Top No Stocks: 5
 Ranking System: ETF Rotation - Basic


Premium Access Only U.S. ETFs - General Rotation
 5 year return: 88.59%
 3 year return: 139.52%
 1 year return: 27.37%
 Stats as of: Feb 1, 2012

 Description...
 
 Type: ETF
 Holding Period: Weekly
 Slippage: 0.25%
 Top No Stocks: 3
 Ranking System: ETF Rotation - Basic


Premium Access Only Global Price Strength
 5 year return: 72.39%
 3 year return: 59.37%
 1 year return: -20.01%
 Stats as of: Feb 1, 2012

 Description...
 
 Type: ETF
 Holding Period: Weekly
 Slippage: 0.25%
 Top No Stocks: 5
 Ranking System: Price Uptrend - Basic


Premium Access Only U.S. Equities - Sector Rotation
 5 year return: 55.62%
 3 year return: 129.69%
 1 year return: -7.41%
 Stats as of: Feb 1, 2012

 Description...
 
 Type: ETF
 Holding Period: Weekly
 Slippage: 0.25%
 Top No Stocks: 5
 Ranking System: ETF Rotation - Basic


Premium Access Only Global Risk-Reward Allocation
 5 year return: 11.34%
 3 year return: 21.64%
 1 year return: -17.42%
 Stats as of: Feb 1, 2012

 Description...
 
 Type: ETF
 Holding Period: Weekly
 Slippage: 0.25%
 Top No Stocks: 5
 Ranking System: Risk-Reward - Basic


Premium Access Only U.S. Equities - Style Rotation
 5 year return: -13.49%
 3 year return: 47.85%
 1 year return: -16.60%
 Stats as of: Feb 1, 2012

 Description...
 
 Type: ETF
 Holding Period: Weekly
 Slippage: 0.25%
 Top No Stocks: 3
 Ranking System: Risk-Reward - Aggressive


Premium Access Only Universal Risk-Reward Balance
 5 year return: -14.61%
 3 year return: -13.38%
 1 year return: -14.95%
 Stats as of: Feb 1, 2012

 Description...
 
 Type: ETF
 Holding Period: Weekly
 Slippage: 0.25%
 Top No Stocks: 10
 Ranking System: Risk-Reward - Basic
Portfolio123 Screens represent hypothetical or simulated performance, not actual trading. Since the trades have not actually been executed, the results may have under-or-over compensated for the impact of certain market factors such as liquidity. Returns may include a slippage amount for each trade. Dividends are not included. Remember that past returns are no guarantee of future returns. See testimonials from actual users about their results using Portfolio123 .