MI 2.1 · PREVIEW BEFORE LAUNCH

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September 25, 2026 model data · MI 2.1 is in testing before launch. This dated example is not today’s instructions.

Pro combines a research reconstruction with private paper continuation. These are not customer or funded-account results.

MOUNT INFLECTION

PRO

MI 2.1 · Pro strategy
Issue Sun Sep 27, 2026 ET · Equity data as of Fri Sep 25 close
Completed equity session: 2026-09-25
MI 2.1 PREVIEW · Historical model example · Not a current trade instruction.

Action Summary

Day change
-0.31%
Cash
25.70%
Holdings
39
Sells / Covers: No full exits
Buys / Shorts: SU (buy)

Gross 83.21% · net 74.30%. Existing-position allocation estimates are separate below.

Pending Trades

Pending position entries/exits. Expected trade dates can change; reference prices are not fills.

Expected date / ActionPosition / ReasonPrice / P/LSize / Hold
2026-09-28BUYSignal SUOpen net Pro exposure$68.19 ref.Price P/L —0.30%Hold 0 daysPlanned entry 2026-09-28

Allocation Estimates

Existing positions stay open. These projected weight changes are separate from new entries and full exits.

TickerNowEstimateChange
XOM1.82%2.11%+0.30 pp
GNW0.58%0.29%-0.28 pp
PR0.84%0.56%-0.28 pp

Showing changes of at least 0.10 percentage point. 36 smaller changes are omitted from this summary. This display filter does not change the model’s rebalancing.

Execution Rails

Daily signals combine the core model with staged long and long/short components. Pro allocation estimates include component rebalancing and valuation effects. Weight differences alone are not verified share-order quantities. Opening prices, costs and cash constraints can change sizing. Size is a share of model equity. No funded or live orders are authorized.

MI Strategy Review

Pro research reconstruction with private paper continuation. Cumulative returns, not annualized; maximum drawdown appears beneath each return.

PeriodProSPYQQQ
YTD43.30%DD -17.66%14.00%DD -8.88%21.61%DD -11.72%
1Y69.20%DD -17.66%18.48%DD -8.88%26.03%DD -11.96%
3Y266.94%DD -17.66%85.05%DD -18.76%110.56%DD -22.77%
5Y379.71%DD -18.08%85.78%DD -24.50%105.47%DD -35.12%
Measurement dates
PeriodOpeningEndingSessions
YTD2025-12-312026-09-25184
1Y2025-09-252026-09-25251
3Y2023-09-252026-09-25753
5Y2021-09-242026-09-251255
Same-date Free and Pro reference

Same-period historical research comparison ending December 31, 2025. Free is a hypothetical simulation; Pro is a current-rule research reconstruction. Returns are cumulative, not annualized, and maximum drawdowns use identical daily market dates for every series.

Free and Pro
PeriodFreePro
1Y50.60%DD -13.91%55.88%DD -16.25%
3Y151.92%DD -13.91%183.84%DD -16.25%
5Y221.52%DD -13.91%334.89%DD -18.08%
Market benchmarks
PeriodSPYQQQ
1Y17.72%DD -18.76%20.77%DD -22.77%
3Y85.50%DD -18.76%134.86%DD -22.77%
5Y95.39%DD -24.50%101.77%DD -35.12%
Measurement dates
PeriodOpeningEndingSessions
1Y2024-12-312025-12-31250
3Y2022-12-302025-12-31752
5Y2020-12-312025-12-311255

Free cost basis: The hypothetical research simulation includes 5 bps slippage plus 1 bp commission per fill. Subscription fees, taxes, cash interest and additional market impact are excluded.

Pro cost basis: Includes 12 bps per one-way turnover at applicable component and allocation layers, 3% annual short carry, and 5% annual financing on funded allocation above one unit of capital. Pro uses leverage and shorts; short locates, actual borrow availability and brokerage execution are not established by this paper test.

The Free hypothetical model and Pro reconstruction above remain separate from brokerage-account results.

Includes 12 bps per one-way turnover at applicable component and allocation layers, 3% annual short carry, and 5% annual financing on funded allocation above one unit of capital. Pro uses leverage and shorts; short locates, actual borrow availability and brokerage execution are not established by this paper test.

Model results are not customer or brokerage returns. Subscription fees and taxes are excluded. SPY and QQQ are unlevered adjusted-price buy-and-hold comparisons. Research selection, hindsight, current-survivor/founder-universe and no-untouched-holdout limitations apply.

Open Positions

Position / EntryP/L %Hold (days)Weight
WYNN SHORT2026-09-24-0.14%1-0.44%
RCL SHORT2026-09-24-3.59%1-0.46%
PBR-A2026-09-24-3.64%10.42%
NCLH SHORT2026-09-24-4.32%1-0.46%
CRH SHORT2026-09-24-0.47%1-0.44%
XOM2026-09-15-2.88%101.82%
PTEN2026-09-14-15.30%112.71%
UPST SHORT2026-09-106.44%15-0.43%
ET2026-09-10-7.34%150.43%
CCL SHORT2026-09-100.67%15-0.46%
ATI2026-09-09-9.85%162.88%
COP2026-09-04-5.42%211.76%
BWA2026-09-04-6.60%212.92%
GNW2026-09-03-9.33%220.58%
CF2026-09-03-17.27%220.56%
CVX2026-09-02-2.87%232.85%
AES2026-09-010.81%242.15%
PR2026-08-28-7.92%280.84%
WING SHORT2026-08-2611.98%30-0.45%
JOBY SHORT2026-08-2611.98%30-0.45%
RUN SHORT2026-08-1221.87%44-0.44%
APA2026-08-115.56%452.78%
MAR2026-08-07-1.70%493.18%
FDX2026-08-07-8.92%492.92%
MT2026-08-04-4.09%523.14%
LXP2026-07-24-0.36%633.52%
PBF2026-07-2210.11%652.46%
EOG2026-07-22-3.37%653.04%
VLO2026-07-1631.50%713.50%
AAPL2026-07-164.07%713.22%
PAA2026-07-155.25%720.44%
PSX2026-07-1428.55%733.45%
MPC2026-07-1037.82%773.46%
GGB2026-07-0716.69%803.66%
DINO2026-07-0743.62%803.44%
XPEV SHORT2026-06-1529.62%102-0.43%
INTC2026-05-260.74%12211.91%
NOK2026-05-22-29.32%1262.47%
TER2025-10-16181.09%3442.25%

Net Pro exposure after component offsets. Entry date is the first session of the current uninterrupted long or short exposure; additions and trims keep that date. P/L is the direction-adjusted price change from that entry-open reference, excluding resizing, costs and carry. It is not a cost-basis or account return. Historical reference prices use the authenticated Pro model series. Holding days are calendar days; entry day is zero.

Top Ranks

Rank / TickerStatusP/L %Hold (days)
1 TEROPEN181.09%344
2 ASMLCLOSED-1.56%74
3 CIENCLOSED443.48%287
4 BBNOT HELD——
5 TXNNOT HELD——
6 THCNOT HELD——
7 GGBOPEN16.69%80
8 BTC-USDNOT HELD——
9 INTCOPEN0.74%122
10 FTINOT HELD——
11 TEXNOT HELD——
12 SOL-USDNOT HELD——
13 STTCLOSED3.28%61
14 IVZNOT HELD——
15 ACLOSED6.38%29
16 BENCLOSED-2.95%34
17 KMXCLOSED8.04%57
18 PFGCLOSED-7.42%55
19 CARNOT HELD——
20 ATIOPEN-9.85%16
21 SCCOCLOSED-5.05%71
22 AMDCLOSED14.39%95
23 WBDNOT HELD——
24 FDXOPEN-8.92%49
25 ZIONCLOSED-0.77%99
26 BFHNOT HELD——
27 MASCLOSED3.07%78
28 FCXCLOSED5.67%12
29 LTC-USDNOT HELD——
30 MTOPEN-4.09%52
31 PRUNOT HELD——
32 EXPECLOSED-16.65%17

Top Ranks shows Pro’s daily ranking universe. Other Pro components use separate selection rules. Status, P/L and Hold refer to the combined net Pro exposure. A high rank is context, not a buy instruction. When not held, only exposure exits within the last 200 days are shown; otherwise the trade fields show a dash.

— means no trade observation. CLOSED P/L and hold refer to the last recorded exit; OPEN refers to the current position.

Completed Trades

Trade dates below show when each hypothetical model action occurred. History: 2026-09-17 through 2026-09-25. Do not repeat completed actions.

Trade date / ActionPosition / ReasonPrice / P/LSize / Hold
2026-09-24SHORTSignal WYNNNet exposure opened$81.01 ref.Price P/L —0.43%Hold 0 daysPosition entry 2026-09-24
2026-09-24COVERSignal TTDNet exposure closed$12.75 ref.Price P/L 5.27%0.41%Hold 43 daysPosition entry 2026-08-12
2026-09-24COVERSignal STLANet exposure closed$4.67 ref.Price P/L 20.71%0.39%Hold 71 daysPosition entry 2026-07-15
2026-09-24SHORTSignal RCLNet exposure opened$234.30 ref.Price P/L —0.45%Hold 0 daysPosition entry 2026-09-24
2026-09-24BUYSignal PBR-ANet exposure opened$19.22 ref.Price P/L —0.43%Hold 0 daysPosition entry 2026-09-24
2026-09-24SHORTSignal NCLHNet exposure opened$14.01 ref.Price P/L —0.44%Hold 0 daysPosition entry 2026-09-24
2026-09-24COVERSignal LINet exposure closed$11.98 ref.Price P/L 5.26%0.45%Hold 43 daysPosition entry 2026-08-12
2026-09-24SHORTSignal CRHNet exposure opened$84.64 ref.Price P/L —0.43%Hold 0 daysPosition entry 2026-09-24
2026-09-24COVERSignal APPNet exposure closed$315.50 ref.Price P/L -2.01%0.47%Hold 29 daysPosition entry 2026-08-26
2026-09-22SELLSignal CAHNet exposure closed$227.17 ref.Price P/L -6.90%0.27%Hold 47 daysPosition entry 2026-08-06
2026-09-21SELLSignal UBSNet exposure closed$51.47 ref.Price P/L -4.30%0.27%Hold 20 daysPosition entry 2026-09-01
2026-09-18SELLSignal ZIONCore signal: Trend breakdown signal$65.80 ref.Price P/L -0.77%3.00%Hold 99 daysPosition entry 2026-06-11
2026-09-17SELLSignal SNOWNet exposure closed$334.00 ref.Price P/L 1.10%0.31%Hold 20 daysPosition entry 2026-08-28
2026-09-17SELLSignal BNYCore signal: Trend breakdown signal$154.52 ref.Price P/L -5.81%3.06%Hold 22 daysPosition entry 2026-08-26

System Pulse

WindowClosed / WinAvg P/L / HoldOpen / P/L / Hold
30 days25 closedWin 52.00%-0.26%43 days20 open · -3.25%15 days
100 days79 closedWin 48.10%0.43%45 days35 open · 3.47%36 days
200 days172 closedWin 44.19%3.53%44 days38 open · 3.23%42 days

Continuous net exposure episodes: an exit or side reversal closes an episode. Closed columns cover exits within each calendar-day window; open columns cover current episodes no older than that window. Price P/L excludes resizing, fees and short carry; these are signal diagnostics, not realized portfolio returns.

Vintage Review · Upstream Pro Source

Vintage / accountOne-day changeCashHoldings
2016-0.84%16.95%13
2017-0.94%21.09%12
2018-0.94%18.57%13
2019-0.81%16.42%13
2020-1.18%16.34%13
2021-0.98%17.74%12
2022-0.92%7.54%15
2023-0.29%17.62%22
2024-0.19%26.79%14
2025-0.38%16.49%17
Selected source-0.93%21.07%12

Model Notes

Pro combines the core model with staged long and long/short components.

Upstream vintage accounts are monitored before the final Pro portfolio is formed. They are research inputs, not separate customer portfolios.

Research and hypothetical model results are educational. Market risk, execution differences and modeled costs affect outcomes; past results do not predict future performance.

Want to explore Pro?

Review what Pro includes and the $20/month subscription. MI 2.1 remains in testing before launch.