Investors Monitor 20™
The Investors Monitor 20™ is a group of 20 stocks that we expect to outperform most other stocks over periods of 3-18 months into the future.
Stocks that compose our IM 20™ are based on our proprietary investment-selection methodology, which includes an on-going analysis of company-specific factors, economic developments, industry relative performance and sector relative performance statistics, the trading action in both the overall U.S. stock market and individual stocks, and the readings on our Tactical Asset & Sector Allocation Model (and associated Buy-Sell Index).
When any given stock included in our IM 20™ Index no longer meets our investment-selection criteria, we remove the stock from the index and replace it with another stock.
See the chart below for the performance of our Investors Monitor 20™ Index.