The Best Asset Now investment strategy is a bit of a 'disruptor' strategy from the standard financial advice "Buy & Hold" (a.k.a HODL). This strategy aims to be holding the asset class which is currently performing (or more likely to) perform over the short to medium term to deliver consistent growth and avoid downturns or periods of under-performance.
Chris Vermualen over at www.TECHNICALTRADERS.com is pioneering this style of investing and calls it "Asset Revesting"
Chris is invested in only one of these assets at a time which is displaying the best relative performance in comparison to each other. Only ever hold an asset that is going up.
All of the tickers above are big ETF’s so very liquid and no problem trading large sums of money... ever.
E.g. … during Covid…
When the US SP500 started to under perform (see the top of the image above), TLT (US gov Bond) assumed to role of the best performing asset and so SP500 was sold and TLT was bought. When TLT started to underperform, US treasury Bills (BIL ETF) was the safest bet as the SP500 was still underperforming.
Chris calls this the CGS strategy on his website cgsinvestor.com where you can check out the performance and further details...