Hello Supal, the Top Dow strategy is allocated in the following portfolios:
https://logical-invest.com/app/strategy.php?symbol=Moderate
https://logical-invest.com/app/strategy.php?symbol=DD15
https://logical-invest.com/app/strategy.php?symbol=Vol10
https://logical-invest.com/app/strategy.php?symbol=Vol7
Whether a strategy gets included into one of our default portfolios only depends on the optimization algorithm, that is which strategies best allow the optimizer to obtain the best result fulfilling the constraints.
For example, the configuration of the “Max CAGR with volatility less than 10%” is just that: Which combination of strategies show the best historical return (CAGR) while having a historical volatility of less than 10% – in the observed period, which by default is Jan 2007 to present. You can see the full definition always in the “Methodology & Assets” description of the portfolios.
We will update the portfolios twice a year with the updated data history – or when significant changes in our strategy offering occur, like in this case.
Hope this answers your questions.