A portfolio of low expense ratio ETF’s that represent the eleven different economic sectors, that are overweight or underweight vs. their weighting in the S&P 500 based upon Relative Price Strength. We rank how each sector has done over the Last Month, three month and 12 months, giving a greater weight to the one-month number and the least weight to the 12-month number. The best performing sectors are overweighted their exposure to the S&P 500 by up to 120%, while the lowest performing sectors are under weighted the S&P 500 by as much as 80%. The portfolio is rebalanced monthly.