The Trend Asset Allocation Model is an asset allocation model that applies trend-following principles based on the inputs of global stock and commodity prices. This model has a shorter time horizon and tends to turn over about 4-6 times a year. The performance and full details of a model portfolio based on the out-of-sample signals of the Trend Model can be found here.
![](https://blogger.googleusercontent.com/img/b/R29vZ2xl/AVvXsEh2DVSc1IZBn5_yApwhFZ1Bn5e7Mr3SE1SmTIsjcsxfI2RWjc0yO3RaHbbPsleS5x1Hn0PLKALDwH8yaMwHyoSej6cEIDO7Z_d56BqOlIh0vxXq4iJiNlR4Ed7__z7jQ5ndtFpr3I42RmrFuAvxaBYDae9oFm2ZNoVlKNmlb6JZVMmzHpIoKimPg2o-i2lV/w400-h290/Trend%20Model%20perf.png)
My inner trader uses a trading model, which is a blend of price momentum (is the Trend Model becoming more bullish, or bearish?) and overbought/oversold extremes (don't buy if the trend is overbought, and vice versa). Subscribers receive real-time alerts of model changes, and a hypothetical trading record of the email alerts is updated weekly here. The hypothetical trading record of the trading model of the real-time alerts that began in March 2016 is shown below.
![](https://blogger.googleusercontent.com/img/b/R29vZ2xl/AVvXsEilo6cT7uYF9MSYnAHDvLpziFm_I9JQ5DMD5m3rQlYHXTr1eGk2hRUK9zBcYqYdRJi5cZJ_3WOaNTCpY-ffIORiTIumUQQUayTGS1rJGurFjv5kxk_T8_oMj9CNo2uPgNdHUab6mWKFcngXpZzVH-uLbsYTLpYebDgwyrSlidH38UVrALnXLwZEOR1QFLxD/w400-h291/Inner%20Trader.png)
The latest signals of each model are as follows:
- Ultimate market timing model: Buy equities (Last changed from “sell” on 28-Jul-2023)*
- Trend Model signal: Bullish (Last changed from “neutral” on 28-Jul-2023)*
- Trading model: Neutral (Last changed from “bullish” on 23-May-2024)*
Update schedule: I generally update model readings on my site on weekends. I am also on X/Twitter at @humblestudent. Subscribers receive real-time alerts of trading model changes, and a hypothetical trading record of those email alerts is shown here.
Subscribers can access the latest signal in real time here. The bull isn’t done
Make no mistake, I am intermediate-term bullish on U.S. equities. The monthly MACD buy signal remains in force and there are no signs of any negative divergence that signals a major market top.
![](https://blogger.googleusercontent.com/img/b/R29vZ2xl/AVvXsEg_LHYoMZxGfa3wdHyc5npgW7qHGNO8qoEPuTzINOAIBCb4bU6UIOQ-h4C0JWZ5kw9ON8pyV7pFVo1dIktAg-stGDrZyeAJrOiboBNTVOKldyl6qzhD-aqdqwyczSWVTd1z-5nFG_ecRldXQ6lH_HAFZ2KnRTBlablEK-9mOA12rptuCd_se7FhwG29PLLB/w400-h300/NYA.png)
Beneath the hood, however, disturbing signs of that not all is well in the short run. Here are bull and bear cases.