The model strategy calls for investing with the S&P 500 at a leverage factor of 2. I’m actually doing a factor of 1 for a couple reasons: (a) the daily and monthly forecasts aren’t very strong and (b) I’m not confident in my availability to trade tomorrow if I it proves time to unwind this position.
The 1-day forecast is positive. The 1-wk forecast is positive. The 1-mo forecast is marginally positive. The 1-yr forecast is still considerably negative.