In 2025, I began to run a strategy called “BMOP”, or the “Bowman Managed Opportunities Portfolio.”
BMOP is an actively managed and traded alternative strategy involving the tactical rotation of long and short leveraged and non-leveraged ETFs across asset classes, including: bonds, treasuries, interest rates, currencies, and commodities that express technical and fundamental opinions on these assets, to generate positive total return.
The strategy is managed by Jack Bowman and traded with his own capital. New signals generated for the strategy, which influence the strategy's position across each asset (long, short, or unallocated), typically come weekly, though some positions may be held indefinitely.
You can track the performance of BMOP here.
You can see the spreadsheet I use for BMOP here.