In your performance spreadsheet, you show two positions MDY (50%) and EDV (50%) for the date of 10/31/14 thru 11/28/14. Your stated rules indicate that you would be invested in the top-ranked position. On that date, my calculations indicated that MDY was the top ranked ETF. Why did you change the rules and use two positions instead of one? I know you use money management, but I thought money management referred to an investment of a certain percentage into the top ranked fund plus a percentage into cash ie (MDY (50%) and CASH (50%) or MDY (70%) and CASH (30%) etc, not an investment into the top 2 ranked funds. Could you please explain this, and when do you use the top two ranked ETF’s instead of the top ranked ETF?
Thank you.