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Use benchmark products as broad market anchors for allocation planning, hedging, and guarded simulation workflows.
ETF simulation is enabled. Future live execution still requires broker product mapping, permissions, and readiness gates.
All ETF actions on this platform are simulated only — no real capital is deployed and no orders are routed to any exchange or broker.
Key ETF considerations for simulation planning:
Past performance is not indicative of future results. This is not financial advice.
Core diversified beta for broad equity exposure and allocation planning.
Momentum and trend are aligned to the upside.
Indicators: MA spread 0.003 | Momentum 0.049 | Trend 0.430
QQQ
Concentrated growth and technology benchmark for tactical comparison.
Signal stack is mixed and does not justify directional conviction.
Indicators: MA spread -0.013 | Momentum 0.014 | Trend 0.060
VTI
Broad US equity allocation anchor with deep diversification across capitalization bands.
Momentum and trend are aligned to the upside.
Indicators: MA spread 0.012 | Momentum 0.042 | Trend 0.364
IWM
Cyclical domestic exposure offers sensitivity to easing financial conditions and growth rotation.
Signal stack is mixed and does not justify directional conviction.
Indicators: MA spread 0.006 | Momentum 0.010 | Trend 0.097
XLK
Concentrated technology leadership vehicle for tactical sector expression.
Signal stack is mixed and does not justify directional conviction.
Indicators: MA spread -0.011 | Momentum 0.014 | Trend 0.054
GLD
Liquid precious-metals exposure for inflation and geopolitical hedge positioning.
Momentum and trend are aligned to the upside.
Indicators: MA spread 0.010 | Momentum 0.061 | Trend 0.460
TLT
Long-duration Treasury exposure provides macro hedging and rate-sensitivity expression.
Momentum and trend are aligned to the downside.
Indicators: MA spread -0.011 | Momentum -0.053 | Trend -0.292
VOO
Low-cost core S&P 500 exposure for broad US equity allocation.
Momentum and trend are aligned to the upside.
Indicators: MA spread 0.003 | Momentum 0.046 | Trend 0.415
XLF
Tactical sector vehicle for rate-sensitive and credit-cycle financial exposure.
Momentum and trend are aligned to the upside.
Indicators: MA spread 0.013 | Momentum 0.069 | Trend 0.320
SCHD
Quality dividend screen provides defensive income with capital preservation characteristics.
Momentum and trend are aligned to the upside.
Indicators: MA spread 0.019 | Momentum 0.054 | Trend 0.281
BND
Diversified investment-grade bond exposure for portfolio duration management.
Signal stack is mixed and does not justify directional conviction.
Indicators: MA spread -0.003 | Momentum -0.011 | Trend -0.176
XLE
Commodity-sensitive sector exposure for tactical oil and energy positioning.
Signal stack is mixed and does not justify directional conviction.
Indicators: MA spread 0.013 | Momentum 0.065 | Trend 0.165
IVV
Additional benchmark/product symbol for broader live ETF monitoring and scanning.
Momentum and trend are aligned to the upside.
Indicators: MA spread 0.012 | Momentum 0.047 | Trend 0.375
VUG
Additional benchmark/product symbol for broader live ETF monitoring and scanning.
Momentum and trend are aligned to the upside.
Indicators: MA spread -0.001 | Momentum 0.056 | Trend 0.305
DIA
Additional benchmark/product symbol for broader live ETF monitoring and scanning.
Momentum and trend are aligned to the upside.
Indicators: MA spread 0.014 | Momentum 0.045 | Trend 0.401
XLV
Additional benchmark/product symbol for broader live ETF monitoring and scanning.
Momentum and trend are aligned to the upside.
Indicators: MA spread 0.009 | Momentum 0.061 | Trend 0.311