Model Portfolios

3 featured timing books on the public shelf — the ones that beat SPY on a full Tiingo archive. Other MC-validated models stay tradable; research slugs stay in the lab. 46 additional models are demo track record only. Showing 46.

Demo track recordPortfolio Advisor

Research lab

Not available for paper or live trading — Monte Carlo path robustness is below the promotion gate or walk-forward validation failed. Each runs a forward $1,000 virtual demo account on the track record. Includes demoted Quant Lucid Alpha.

ETF Pulse

Growth·Stocks & ETFs

+0.5% live
Live demo

Short-horizon momentum across a diversified basket of sector ETFs. Built for active participation in trending equity markets.

HorizonDays–months
Net Sharpe (after costs)n/a
Max DD (backtest est.)honest 12:30 −25%
View portfolio

Macro Pulse

Growth·Stocks & ETFs

+1.3% live
Live demo

Soros-inspired global macro sleeve. Rotates across macro-sensitive ETFs only when EUR/USD and bond-liquidity gates confirm a risk-on regime.

HorizonWeeks–months
Net Sharpe (after costs)n/a
Max DD (backtest est.)honest 14:30 −15%
View portfolio

Growth

Growth·Stocks & ETFs

-3.6% live
Live demo

Equity-focused allocation emphasizing innovation, platform businesses, and long-term compounding themes.

Horizon10+ years
Net Sharpe (after costs)1.4–1.6
Max DD (backtest est.)-25.8% to -26.8%
View portfolio

Dividend Income

Conservative·Stocks & ETFs

+5.1% live
Live demo

Income-oriented educational allocation focused on dividend growers, yield ETFs, and REIT exposure.

Horizon3+ years
Net Sharpe (after costs)0.6–0.8
Max DD (backtest est.)-14.5% to -15.5%
View portfolio

Leveraged ETF Pulse

Aggressive·Stocks & ETFs

+0.5% live
Live demo

Pulse 2.0 — the same daily SMA-stack momentum engine applied to 3x leveraged sector ETFs for maximum risk-adjusted compounding.

HorizonDays–weeks
Net Sharpe (after costs)n/a
Max DD (backtest est.)honest 15:30 −52%
View portfolio

AI Momentum

Growth·Stocks & ETFs

-4.8% live
Live demo

Signal-driven allocation built from Quant Lucid Opportunity, Momentum, and Conviction scores.

Horizon1–3 years
Net Sharpe (after costs)0.9–1.1
Max DD (backtest est.)-16.9% to -17.9%
View portfolio

SharpeMind Growth

Growth·Stocks & ETFs

-2.2% live
Live demo

Quantitative multi-factor strategy optimizing for risk-adjusted allocation research across quality, value, and momentum.

Horizon3–5 years
Net Sharpe (after costs)0.7–0.9
Max DD (backtest est.)-15.2% to -16.2%
View portfolio

Quant Lucid Alpha

Growth·Stocks & ETFs

-3.1% live
Live demo

Flagship Quant Lucid portfolio combining top-scored assets with automated trend-aware rebalancing. Built for paper trading and webhook execution.

Horizon3–5 years
Net Sharpe (after costs)0.8–1.0
Max DD (backtest est.)-15.6% to -16.6%
View portfolio

Crypto Momentum

Balanced·Crypto

+0.0% live
Live demo

Selective crypto trend model (Sniper) that waits for MA-stack momentum plus bond liquidity and EUR/USD dollar-regime confirmation before deploying. Stays in USDC when the dollar is strengthening or trends break.

Horizon1–3 years
Net Sharpe (after costs)0.6–0.8
Max DD (backtest est.)-7.9% to -8.9%
View portfolio

Crypto Monthly

Growth·Crypto

+0.0% live
Live demo

Monthly rebalanced crypto allocation that scales exposure with market structure. Participates in uptrends and steps aside during prolonged weakness.

Horizon1–3 years
Net Sharpe (after costs)0.6–0.8
Max DD (backtest est.)-36.5% to -37.5%
View portfolio

Crypto Relative Strength

Aggressive·Crypto

+5.8% live
Live demo

Cross-sectional momentum — holds the top performers by trailing return, rebalanced weekly. Rotates leadership instead of waiting for per-coin trend stacks.

HorizonWeeks–months
Net Sharpe (after costs)2.1–2.3
Max DD (backtest est.)-20.1% to -21.1%
View portfolio

Crypto Bounce

Growth·Crypto

+0.9% live
Live demo

Dip-buying and mean-reversion strategy that complements trend models. Activates during pullbacks when momentum strategies may be on the sidelines.

HorizonDays–weeks
Net Sharpe (after costs)1.1–1.3
Max DD (backtest est.)-21.3% to -22.3%
View portfolio

Crypto Pulse

Aggressive·Crypto

+16.0% live
Live demo

Short-horizon momentum across a diversified basket of major coins. Built for active participation in trending crypto markets.

HorizonDays–weeks
Net Sharpe (after costs)3.6–3.8
Max DD (backtest est.)-11% to -12%
View portfolio

Crypto All-In (45/30/25)

Balanced·Crypto bundles

-0.1% live
Live demo

Blended bundle: 45% Sniper, 30% Monthly, 25% Bounce with v3/v5 + SMA dip-cross bounce logic.

Horizon1–3 years
Net Sharpe (after costs)1.2–1.4
Max DD (backtest est.)-9% to -10%
View portfolio

Crypto All-In (Equal 1/3)

Balanced·Crypto bundles

+0.5% live
Live demo

Equal-weight blend: 33% Sniper, 33% Monthly, 33% Bounce with v3/v5 + SMA dip-cross bounce logic.

Horizon1–3 years
Net Sharpe (after costs)1.2–1.5
Max DD (backtest est.)-11.2% to -12.2%
View portfolio

ETF Pulse (No SQQQ)

Growth·Stocks & ETFs

+1.3% live
Live demo

Same ETF Pulse momentum engine on nine sector ETFs — inverse SQQQ removed for cleaner live paths. Forward A/B track vs flagship ETF Pulse.

HorizonDays–months
Net Sharpe (after costs)5.8–6.4
Max DD (backtest est.)-3.3% to -4.3%
View portfolio

LEAPS Growth

Growth·Options

-1.3% live
Live demo

Capital-efficient equity exposure via deep ITM LEAPS calls. Frees ~70% of capital to SHY while maintaining trend-aware positioning on top-scored assets.

Horizon1–3 years
Net Sharpe (after costs)2.1–2.3
Max DD (backtest est.)-2.5% to -3.5%
View portfolio

Options Income

Conservative·Options

+5.4% live
Live demo

Dividend-oriented equity holdings enhanced with systematic covered call premium collection. Generates income while maintaining core equity exposure.

Horizon3+ years
Net Sharpe (after costs)0.0–0.1
Max DD (backtest est.)-12% to -14%
View portfolio

Protected Equity

Balanced·Options

+0.0% live
Live demo

Growth equity allocation with regime-triggered protective put hedging. Runs unhedged in normal markets; activates puts in caution/defensive regimes.

Horizon1–3 years
Net Sharpe (after costs)1.5–1.6
Max DD (backtest est.)-18% to -20%
View portfolio

Collar Conservative

Conservative·Options

+0.5% live
Live demo

Conservative allocation with collar overlays on equity positions. Bounded risk and return via simultaneous protective puts and covered calls.

Horizon3+ years
Net Sharpe (after costs)2.1–2.2
Max DD (backtest est.)-7% to -8%
View portfolio

Buffett 90/10

Growth·Stocks & ETFs

+3.3% live
Live demo

Warren Buffett's passive benchmark: 90% low-cost S&P 500 index fund and 10% short-term government bonds. He recommended this in his 2013 shareholder letter as instructions for managing his wife's inheritance.

Horizon10+ years
Net Sharpe (after costs)0.9–1.2
Max DD (backtest est.)-9.2% to -10.2%
View portfolio

PMCC Alpha

Growth·Options

-0.9% live
Live demo

Poor Man's Covered Call on flagship scored assets. LEAPS long calls paired with short-dated OTM call sales for capital-efficient income and growth.

Horizon1–3 years
Net Sharpe (after costs)5.4–5.6
Max DD (backtest est.)-1.5% to -2.0%
View portfolio

Value Moat

Balanced·Stocks & ETFs

-0.3% live
Live demo

Buffett-inspired quality portfolio. Optimizes weights across durable-competitive-advantage businesses — consumer franchises, financials, and staples — with MA200 capital preservation.

Horizon5+ years
Net Sharpe (after costs)0.0–0.2
Max DD (backtest est.)-12.4% to -13.4%
View portfolio

Theta Regime

Growth·Options

-3.3% live
Live demo

Weekly credit spread basket across major ETFs. Sells bull put spreads below the 50-day SMA and bear call spreads above it — capturing premium when trends mean-revert.

HorizonWeeks
Net Sharpe (after costs)0.8–0.9
Max DD (backtest est.)-14% to -16%
View portfolio

Quality Compounder

Balanced·Stocks & ETFs

+0.3% live
Live demo

Systematic Buffettology — ranks the scored universe by quality, valuation, and low risk, then optimizes weights with a long-term trend filter.

Horizon3–5 years
Net Sharpe (after costs)0.7–0.9
Max DD (backtest est.)-14.7% to -15.7%
View portfolio

Premium Guard

Balanced·Options

+0.0% live
Live demo

Far OTM Bull Put Spread 40D. Systematic put premium on SMH and USO — 0.15 delta, close at 50% profit, 4% risk per trade. Sized for $1,000 accounts.

HorizonWeeks
Net Sharpe (after costs)0.9–1.0
Max DD (backtest est.)-31% to -33%
View portfolio

House Book (60/25/15)

Aggressive·Stocks & ETFs

-1.1% live
Live demo

Cross-venue house book: 60% leveraged ETF Pulse, 25% crypto Pulse, 15% macro-pulse. Fixed blend beat regime flippers in Aug 2026 sweep. $1k demo track record; live Alpaca + Coinbase autopilot pending.

HorizonDays–weeks
Net Sharpe (after costs)n/a
Max DD (backtest est.)own-clock next-open P5 −0.36
View portfolio

Systematic Edge

Growth·Stocks & ETFs

+0.3% live
Live demo

Jim Simons-inspired research portfolio. Scans 50 scored candidates for many modest statistical edges, with tight position caps and MA200 risk control.

Horizon3–5 years
Net Sharpe (after costs)0.7–0.9
Max DD (backtest est.)-16.8% to -17.8%
View portfolio

Capital Guard

Conservative·Stocks & ETFs

-0.9% live
Live demo

Capital preservation first. Blends investment-grade bonds, dividend growers, and quality equities — optimized for minimum volatility with MA100 trend protection.

Horizon3+ years
Net Sharpe (after costs)0.8–1.0
Max DD (backtest est.)-11% to -12%
View portfolio

Hedge Fund Mirror

Growth·Stocks & ETFs

-1.2% live
Live demo

Autopilot analog: Jim Simons Tracker / Point 72 (`hedge-fund-mirror`). Educational clone of top institutional 13F holdings with max-Sharpe weights, 15% caps, and MA200 trend protection.

Horizon3–5 years
Net Sharpe (after costs)1.6–1.8
Max DD (backtest est.)-20.8% to -21.8%
View portfolio

Defense + AI Regime

Growth·Stocks & ETFs

-1.5% live
Live demo

Autopilot analog: AI World War III Portfolio (`defense-ai-regime`). Defense primes and AI/cyber infrastructure with macro-regime tilting — more defense when dollar and rates liquidity weaken, more AI when risk-on.

Horizon1–3 years
Net Sharpe (after costs)2.4–2.6
Max DD (backtest est.)-20.2% to -21.2%
View portfolio

Defense + AI Vol 15

Growth·Stocks & ETFs

+1.6% live
Live demo

Same Defense + AI universe as `defense-ai-regime`, with an unlevered 15% realized-vol cap. Residual goes to SHY when trailing portfolio vol exceeds the target.

Horizon1–3 years
Net Sharpe (after costs)1.1–1.3
Max DD (backtest est.)-23.8% to -24.8%
View portfolio

Contrarian Pulse

Balanced·Stocks & ETFs

-1.5% live
Live demo

Autopilot analog: Inverse Cramer (`contrarian-pulse`). Fades recent winners — quality and valuation over momentum — with Fear & Greed / GDELT regime scaling.

Horizon3–5 years
Net Sharpe (after costs)0.5–0.7
Max DD (backtest est.)-13% to -14%
View portfolio

Congressional Tracker

Growth·Stocks & ETFs

-0.2% live
Live demo

Autopilot analog: Pelosi Tracker+ / Mullin Tracker (`congressional-tracker`). STOCK Act disclosure mirroring with 45-day lag, max-Sharpe weights, and Quiver live feed when API key is set.

Horizon1–2 years
Net Sharpe (after costs)1.0–1.2
Max DD (backtest est.)-18.7% to -19.7%
View portfolio

Burry Value

Growth·Stocks & ETFs

-1.9% live
Live demo

Autopilot analog: Burry Tracker (`burry-value`). Deep-value contrarian tilt on hated / out-of-favor names — separate from broad 13F mirror.

Horizon3–5 years
Net Sharpe (after costs)1.6–1.8
Max DD (backtest est.)-13.9% to -14.9%
View portfolio

White House Tracker

Balanced·Stocks & ETFs

-5.6% live
Live demo

Autopilot analog: White House Asset Management (`white-house-tracker`). Gov-adjacent defense, finance, and energy basket — research until federal ethics disclosure feed ships.

Horizon1–3 years
Net Sharpe (after costs)0.8–1.0
Max DD (backtest est.)-18.9% to -19.9%
View portfolio

Dual Momentum GEM

Balanced·Stocks & ETFs

-1.7% live
Live demo

Antonacci Global Equities Momentum — monthly relative (SPY vs VEA) plus absolute momentum hurdle (BIL). Research-only (Aug 2026 sweep: block P5 Sharpe 0.42).

Horizon3+ years
Net Sharpe (after costs)0.5–0.7
Max DD (backtest est.)-23.3% to -24.3%
View portfolio

Vigilant Asset Allocation

Conservative·Stocks & ETFs

+0.3% live
Live demo

Keller VAA-G4 breadth momentum — top offensive ETFs or LQD defensive. Research-only (Aug 2026: block P5 Sharpe 0.42).

Horizon3+ years
Net Sharpe (after costs)0.2–0.4
Max DD (backtest est.)-31.5% to -32.5%
View portfolio

TSMOM CTA Proxy

Balanced·Stocks & ETFs

-0.1% live
Live demo

Multi-asset time-series momentum with inverse-vol sizing across equity, rates, and commodity sleeves. Research-only (Aug 2026: block P5 Sharpe 0.18).

Horizon5+ years
Net Sharpe (after costs)0.6–0.8
Max DD (backtest est.)-17.5% to -18.5%
View portfolio

All Weather Risk Parity

Conservative·Stocks & ETFs

-1.0% live
Live demo

Unlevered equal-risk allocation across growth/inflation economic buckets. Research-only (Aug 2026: block P5 Sharpe −0.29).

Horizon5+ years
Net Sharpe (after costs)0.2–0.4
Max DD (backtest est.)-19.1% to -20.1%
View portfolio

Faber GTAA (10)

Balanced·Stocks & ETFs

-0.1% live
Live demo

Expanded 10-asset Faber tactical universe with max-Sharpe optimization and MA trend exits. MC-validated Aug 2026.

Horizon3+ years
Net Sharpe (after costs)1.4–1.6
Max DD (backtest est.)-9.9% to -10.9%
View portfolio

All Weather Hybrid

Conservative·Stocks & ETFs

-0.7% live
Live demo

Dalio economic-bucket ETF universe (equity, nominal bonds, TIPS, credit, gold, commodities) with max-Sharpe and an MA150 trend filter. Not levered Bridgewater All Weather — that process is the research clone all-weather-rp.

Horizon5+ years
Net Sharpe (after costs)1.5–1.7
Max DD (backtest est.)-8.5% to -9.5%
View portfolio

TQQQ / SQQQ Flip

Aggressive·Stocks & ETFs

+6.1% live
Live demo

Mutually exclusive Nasdaq 3x rotation — long TQQQ in bull regimes, long SQQQ in bear regimes, SHY when neutral. Fills at 1:30 PM ET; one trade per session.

HorizonDays–weeks
Net Sharpe (after costs)n/a
Max DD (backtest est.)honest 13:30 −63% to −69%
View portfolio

Faber GTAA (13)

Balanced·Stocks & ETFs

-1.3% live
Live demo

Meb Faber 13-asset ticker list with daily max-Sharpe weights and MA150 exits — not Faber’s published equal-weight 10-month SMA rule, and not the live Cambria GTAA ETF.

Horizon3+ years
Net Sharpe (after costs)1.5–1.7
Max DD (backtest est.)-7.8% to -8.8%
View portfolio

TSMOM Hybrid

Balanced·Stocks & ETFs

+0.7% live
Live demo

Multi-asset time-series momentum ETF universe with max-Sharpe optimization and MA trend exits. MC-validated Aug 2026 — hybrid engine replaces rule-based TSMOM.

Horizon5+ years
Net Sharpe (after costs)1.2–1.4
Max DD (backtest est.)-8.5% to -9.5%
View portfolio

Golden Ratio

Balanced·Stocks & ETFs

+0.5% live
Live demo

Vasquez / Risk Parity Radio golden-ratio mix (VUG, VIOV, TLT, GLD, DBC, SHY) with max-Sharpe weights and MA trend filter. MC-validated Aug 2026 try-sweep.

Horizon5+ years
Net Sharpe (after costs)1.6–1.8
Max DD (backtest est.)-11.1% to -12.1%
View portfolio
Research software — not a fund or adviser. We do not take custody. Live orders stay in your brokerage. Not financial advice. Past performance does not indicate future results.