Continuing to hold EN sector. But lopped 1/3 off of todays holding which was actually 34%. Hope I am not overstaying welcome.
BTW, I have been backtesting an Intermediate bottom methodology, which I am likely to implement this time out. Basically, when my indicators show that an intermediate bottom has been achieved, go long for 6 weeks. The long position will be 100%, although I will likely initiate a 50% - 150% range (or something like that) where I cut back into strength and add into weakness. The 6 week period will be a firm target, although I will do additional tests on optimal period length.
Am considering adding this feature to RAIM, although haven't done the programming yet.