Search for: Log In STBS logic Home › Forums › Logical Invest Forum › STBS logic This topic has 0 replies, 1 voice, and was last updated 8 months, 1 week ago by sanjfk. Viewing 1 post (of 1 total) Author Posts 09/12/2023 at 2:35 pm #85125 sanjfkParticipant Hello – any insight as to the logic used for the timing of allocation changes within the STBS strategy? The universe appears to be: “This strategy switches between very low risk ETFs that hold short term corporate or treasury bonds including GSY, MINT and NEAR. The historical holdings are listed below with their average allocation: GSY: 94% VTIP: 6%” Author Posts Viewing 1 post (of 1 total) You must be logged in to reply to this topic. Log In Username: Password: Keep me signed in Log In {{#message}}{{{message}}}{{/message}}{{^message}}Your submission failed. The server responded with {{status_text}} (code {{status_code}}). Please contact the developer of this form processor to improve this message. Learn More{{/message}}{{#message}}{{{message}}}{{/message}}{{^message}}It appears your submission was successful. Even though the server responded OK, it is possible the submission was not processed. Please contact the developer of this form processor to improve this message. Learn More{{/message}}Submitting…