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All Season [long term]

Historical study
Rebalance every 1 mo6 componentsStocks 1800
Simulated since 1927

Every rule visible

The whole strategy, in the open.

A strategy is a portfolio of models. The rules at both levels are the ones the backtest above runs on.

All Season [long term]Rebalance every 1 mo
Open in the app
Allocation across models
Large Cap Stocks
30%
Small Cap Stocks
0%
Intermediate Bonds
15%
Long-Term Bonds
40%
Gold
7.5%
Commodities
7.5%
Large Cap Stocks
Securities1
Max positions10
Stop lossNot set up
Take profitNot set up
Small Cap Stocks
Securities1
Max positions10
Stop lossNot set up
Take profitNot set up
Intermediate Bonds
Securities1
Max positions10
Stop lossNot set up
Take profitNot set up
Long-Term Bonds
Securities1
Max positions10
Stop lossNot set up
Take profitNot set up
Gold
Securities1
Max positions10
Stop lossNot set up
Take profitNot set up
Commodities
Securities1
Max positions10
Stop lossNot set up
Take profitNot set up

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Fincanva provides no financial advice. Backtests show what would have happened — not what will.