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ETF Model back to overweight equities

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Rebound in global shipping rates triggers another top level indicator to shift from bonds to stocks. Model is now calling for 72% equities and 28% bonds vs. a 60%/40% benchmark. QQQ carries the heaviest weighting in the model at 22%. Large shift in international exposure from EM to EAFE.

Ned Davis Research | ETF Selection | Model Update | Monthly

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