Why Logic Defensive portfolio?
The Logic Defensive portfolio is designed for a medium to long-term investment horizon with a risk tolerance level of medium to high. It is built to illustrate how a rules-based approach can support long-term wealth-building objectives. The Logic Max portfolio invests only in ETFs such as SPXL, BOXX, or SGOV. No technical analysis or company analysis is needed. With a low trade frequency (3 to 5 trades per month), this portfolio outperforms the S&P 500 buy-and-hold return and the classic 60/40 portfolio. Investors who are paid subscribers of the Logic Max portfolio can access the daily trade signals on our website. The trade signals are updated once daily, about 15 minutes after the stock market closes. All trades are executed after hours. Because the strategy rotates between BOXX and SPXL (or vice versa), trades can be done through most brokerage apps on a cell phone.