Up 131% – Quant Alpha’s Portfolio Update 03/20/2025

Since the last update two weeks ago, this Portfolio has maintained its wide outperformance against the ETF benchmark, EQAL. The Portfolio is up over 131% for 2023-2025 and beats its benchmark by 111%.

The Model Portfolio Quant Alpha’s was updated today. A Removal was made. All prices are as of 3/20/2025. A total of 25 stocks are in the Portfolio now. This Portfolio uses Quant scores as the chief factor in adding and removing stocks. Other criteria is used to limit the scope of the stocks to be considered. The criteria is shown below.

  • No Micro-Cap stocks.
  • High liquidity.
  • USA or Canada headquartered only stocks.
  • Twice a month I will add to the Portfolio.
  • I will not use subjective criteria for Stock selection.
  • When a Remove signal is received, I will remove 100% of that stock, not a portion.
  • I will not add any stocks that are Airlines, crypto related, BioTech or Mega Cap.. 
  • You can expect that eventually 30 to 35 stocks will be in the Portfolio. 
  • The holding period is expected to range from 9 months to 2 years. 

Add – new Adds are no longer provided

Remove – ANF (Abercrombie & Fitch)

Model Portfolio results for SwingTrader.Trading

Model Portfolio Performance 01-01-2023 to 03-20-2025

Quant Alpha’s *131.59%
EQAL (Russell 1000 Equal Weight ETF) *20.29%
BI-Weekly Swings67.25%
BSMAX ( Russell Small/Mid-Cap Index Fund)19.37%
Small Cap Discoveries57.99%
IJR (Small Cap benchmark)12.86%
CANSLIM Growth42.17%
BSMAX ( Russell Small/Mid-Cap Index Fund)19.37%
Mid Cap Flyers32.23%
MDY (Mid Cap Benchmark)22.02%
Large Cap Stalwarts34.68%
RSP (Large Cap benchmark)22.42%
Quant Alpha's Portfolio summary.

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