Axcel Capital Management, LLC offers actively managed portfolios designed to identify and benefit from market trends that develop in individual stocks, sectors and industries; as well as take precautions to avoid downturns. As such, our portfolios take on a limited number of holdings representing areas of the market that are shown to be trending, based on our relative strength assessment. Below are our positions as of November 1st, 2017.
S&P 500 Relative Strength - Positive
Advantage Portfolio Holdings:
Sector Portfolio Holdings:
Financials (NYSEARCA:XLF) - initiated November 2017
Premium Portfolio Holdings:
Disclosure: I am/we are long AAPL, ABBV, ADBE, ANTM, AVGO, FB, MAR, NVDA, NFLX, PYPL, EEM, XLK, XLF.