Simple Portfolio (UVXY) + v4 Pops + BB V3.0.4.2a
Today’s Change (Mar 17, 2026)
—
A symphony is an automated trading strategy — Learn more about symphonies here
About
A rule-based, UVXY-centered portfolio that rotates among volatility, growth/levered equity baskets, dividends, and bonds based on short- and long-term momentum signals. It uses RSI and moving-average style filters to select top/bottom assets, with a four-regime framework and no fixed calendar rebalance. Short answer: ride volatility with UVXY when signals say risk is rising, otherwise tilt toward defensives and dividends.
- Core idea: use UVXY (volatility bet) as the anchor, and rotate into other assets based on momentum and trend signals.
- Signals used: short-term momentum (RSI over/under 70–80 zone on several reference ETFs), moving-average based screens, and cumulative/price-change metrics to pick top/bottom assets in each block.
- Blocks/Regimes: four major blocks (plus named sub-blocks like Bullish Market Conditions, Risk ON, Risk OFF, Safety Town) drive which assets get funded.
- Asset mix: UVXY as the main risk asset; other equities (e.g., technology/levered ETFs), dividend ETFs (SCHD, DGRO), bonds or bills (BND, BIL, TMF, TBX-like proxies), and occasional commodity/alternative tilts are included. Dividend ETFs are used as ballast in risk-off contexts.
- Position sizing: when a rule fires, capital is allocated evenly across the selected assets within that block (weighting often shows 100/100 or “wt-cash-equal”).
- Rebalancing: the plan specifies “rebalance: none,” meaning changes occur only when a rule triggers, not on a fixed calendar cadence.
- Overall aim: capture upside when volatility spikes and protect capital with dividends and fixed-income tilts when risk appetite drops. It’s a sophisticated, almost engineering-style approach and assumes the signals reliably reflect regime shifts; like all tactical models, it can underperform in noisy or sideways markets.
Out-of-sample, this UVXY-led strategy aims for higher risk-adjusted returns than the S&P: ~65% annualized vs ~22.5%, Sharpe ~1.68 vs 1.41, Calmar ~2.48, with ~26% max drawdown vs ~19%.
Loading backtest data...
Invest in this strategy
OOS Start Date
Apr 23, 2023
Trading Setting
Threshold 1%
Type
Stocks
Category
Multi-asset, volatility trading, momentum-based rotation, dividend/bond ballast
Tickers in this symphonyThis symphony trades 61 assets in total
Ticker
Type
AGG
iShares Core U.S. Aggregate Bond ETF
Stocks
BIL
State Street SPDR Bloomberg 1-3 Month T-Bill ETF
Stocks
BND
Vanguard Total Bond Market
Stocks
BSV
Vanguard Short-Term Bond ETF
Stocks
BTAL
AGF U.S. Market Neutral Anti-Beta Fund
Stocks
CURE
Direxion Daily Healthcare Bull 3X ETF
Stocks
DBC
Invesco DB Commodity Index Tracking Fund
Stocks
DGRO
iShares Core Dividend Growth ETF
Stocks
EEM
iShares MSCI Emerging Markets ETF
Stocks
EFA
iShares MSCI EAFE ETF
Stocks