Caltropia Research

20+ Yr Bond Signals Realtime and Historical

Realtime and Historical Trend, Mean Reversion and Breakout and Down Signals

Realtime Trend Signals

Updated at 3:50PM Est Daily

Short Term Trend

Short Term Strength

Intermediate Trend

Intermediate Strength

Realtime Mean Reversion and Breakout/Down

Mean Reversion

Breakout/Down Signal

Investment Approach

Our strategies systematically allocates across assets showing favorable short and intermediate term trends, strong momentum, mean reversion potential, and breakout or breakdown signals. By combining multiple signals across timeframes, the strategy seeks to capture sustained trends while maintaining broad diversification and responsiveness to changing market conditions.

Why Invest In Caltropia's Signals Based Strategies

1. Multi-Signal Precision

By combining trend direction, strength, mean reversion, and breakout signals, the strategy captures a more complete and nuanced view of market dynamics, enhancing decision making beyond simple trend following

2. Broad Diversification

Equal weighting across multiple assets reduces concentration risk and provides exposure across a wide range of global markets, improving resilience across different market cycles.

3. Adaptive to Market Conditions

The use of both short and intermediate term signals allows the portfolio to dynamically adjust, participating in strong trends while staying responsive to reversals and regime shifts.

4. Systematic, Disciplined Process

By relying on a transparent, rules-based methodology, the strategy removes emotion from investment decisions, promoting consistency, repeatability, and long-term compounding potential.