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Jay Arlington Porfolio
Today’s Change

A symphony is an automated trading strategy — Learn more about symphonies here

About

A buy-and-hold stock portfolio split 25% each across Housing, Banking, and two semiconductor themes. About half is in chips, a quarter in big banks, a quarter in housing-related names. Simple equal-weights; extra emphasis on Taiwan Semi in the chip mix.
NutHow it works
Your money is split evenly across 4 themes: Housing, Banking, Chip-making tools, and Analog chips & a major chip factory. - Equal weight inside each theme, except the last one gives extra weight to Taiwan Semiconductor (TSM). - No market timing or rebalancing.
CheckmarkValue prop
Out-of-sample results show this equal-weight four-theme portfolio delivering higher risk-adjusted returns and smoother drawdowns versus the S&P 500, thanks to semis, banks, and housing tilts that benefit as cycles turn.

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Invest in this strategy
OOS Start Date
Feb 2, 2026
Trading Setting
Threshold 5%
Type
Stocks
Category
Equities, sector-tilted, semiconductors, banks, housing, equal-weight, buy-and-hold, concentrated
Tickers in this symphonyThis symphony trades 20 assets in total
Ticker
Type
ADI
Analog Devices, Inc.
Stocks
ADP
Automatic Data Processing
Stocks
AEHR
Aehr Test Systems
Stocks
AMAT
Applied Materials Inc
Stocks
ASML
ASML Holding NV
Stocks
GS
Goldman Sachs Group Inc.
Stocks
HD
Home Depot, Inc.
Stocks
JPM
JPMorgan Chase & Co.
Stocks
KLAC
KLA Corporation Common Stock
Stocks
LOW
Lowe's Companies Inc.
Stocks

FAQ

A Composer symphony is an automated trading strategy that executes trades based on parameters of your choice. Some symphonies are similar to holding one ETF in normal conditions and rotating to a different ETF when market conditions shift, for example a 5% drop in the S&P 500, while others use complex rules with dozens of triggers. However, complex doesn’t always mean better. A simple, well-structured symphony can be just as effective as an intricate one. Learn more about how symphonies work here.

"Jay Arlington Porfolio" is currently performing the same as yesterday today. Performance updates in real time during market hours.

"Jay Arlington Porfolio" is currently allocated toASML, ADP, AEHR, AMAT, KLAC, ON, TXN, UCTT, LOW, NXPI, MS, MCHP, JPM, HD, GS, TSM, ADI, LRCX, ONTOandRKT. Holdings automatically adjust as market conditions change based on the strategy's rules.

Year-to-date, "Jay Arlington Porfolio" has returned -3.59%. You can adjust the performance chart above to view returns across different time horizons.

The maximum drawdown for "Jay Arlington Porfolio" is 5.64%. The maximum drawdown measures the largest peak-to-trough decline. It's an important metric to evaluate risk and the strategy's behavior during market stress.

To invest in "Jay Arlington Porfolio", simply click the Invest button on this page. You'll need to open an account with Composer if you don't have one yet, then you can start investing. Composer will automatically execute the trades for you based on the strategy's rules. Composer also supports trading individual stocks, ETFs, and options.