| fwiw... dont have a clue on how well these help folks
 
 | Market  						Sentiment & Direction Indicator Comparative Performance 						In the table and charts  						below, the performance of seven stock market sentiment  						indicators is evaluated for each  						of three major classifications of ETFs (broadly  						diversified, US sectors and world regions). These  						indicators are meant to determine whether it is a bull  						market (risk-on) or a bear market (risk-off). During a  						bull market the Strategy  						selects the trend leader to own at the end of each month from among the  						Strategy's candidate  						ETFs. During a bear market, the Strategy will either  						move to the safety of CASH or alternatively own a  						long-term treasury ETF, depending on its configuration.  						Performance for both of these Bear Market Strategy  						configurations is detailed below.  Please review the 						  						Bear Market Strategies page for a  						discussion on how hindsight selection bias can be  						avoided during bear markets using a well-designed  						Strategy that selects from a diverse set of asset  						classes that often (but not always) do well during a  						market crash. 
 
 
 • US Diversified ETFs Strategy 						  True Sector Rotation Strategy using IVE, IVV,  						IVW, IWB, IWV, RSP, SPY, SPYG, MDYG and MDY.   						(TLH bear symbol)
 
 
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 • ETF SPDR Sectors Strategy 						  True Sector Rotation Strategy using XLE, XLF, XLK,  						XLI, XLP, XLV, XLY, XRT, XHB, XPH, MDY and SPY.   						(UST bear symbol)
 
 
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 • ETF World Regions Strategy  						  True Sector Rotation Strategy using DGT, EEM,  						EFA, EPP, FEZ, IEV, ILF, IOO, MDD, MDY, SPY and QQQ.   						(TYD bear symbol)
 
 
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