“Hi John and Jack.  Still really liking your service. I’ve been strictly following the CPM (Correction Protection Model) model with half my money (either in or out of the SPY) and mostly following the SEAF (sector rotation) Model with the other half – other than sometimes weighting the dollars a bit heavier towards the top 1 or 2 performing sectors. Also, I’ve been taking a bit from the SEAF Model allocation  now and then to trade some of your ETF trade ideas. Most of them have worked out okay and at worst I’ve gotten stopped out with a very minor loss. The ITA one worked out really well and I actually have stayed with that one past the 180 exit so that has worked nicely.  Overall, I will take a bit less performance than the Nasdaq and S&P with a MUCH smaller maximum drawdown. Much thanks! Paul.”

Individual Investor, Phoenix AZ