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Contrarian / Dow Moderate Growth

Dow Underdogs

Dow Underdogs focuses on Highest-yielding Dow Jones stocks — classic contrarian strategy.. Starting from a universe of 2882 US equities, the committee applied sector and fundamental quality screens to identify 10 holdings that best align with the moderate growth mandate. The portfolio emphasizes companies with demonstrated profitability, reasonable valuations, and growth trajectories consistent with the Contrarian / Dow theme. Position sizing reflects an equal-weight approach with a 10% cash buffer maintained for rebalancing flexibility and commission coverage. The portfolio is designed to be actively managed through Stoquity's factor scoring and committee review process, with holdings subject to ongoing quality, momentum, and risk monitoring.

$100
+0.0% YTD
Follow Portfolio
0.00
Sharpe
0.00
Sortino
1.00
Beta
+0.0%
Alpha
0%
Std Dev
0%
VaR 95%
-12.4%
Max DD
0.00
Treynor

Current Holdings 10 positions

Ticker Company Sector Weight Shares Cost Basis Current P&L
HCI HCI Group Inc. 9.0% 59 $150.49 $150.49 +0.0%
PEBO Peoples Bancorp Inc. 9.0% 279 $32.15 $32.15 +0.0%
GE General Electric Co Aerospace & Defense 9.0% 31 $282.81 $282.81 +0.0%
GNTX Gentex Corp Auto Components 9.0% 416 $21.62 $21.62 +0.0%
ABCB Ameris Bancorp Banking 9.0% 118 $76.10 $76.10 +0.0%
BAC Bank of America Corp Banking 9.0% 190 $47.15 $47.15 +0.0%
BANF BancFirst Corp Banking 9.0% 84 $107.13 $107.13 +0.0%
BANR Banner Corp Banking 9.0% 149 $60.20 $60.20 +0.0%
BAP Credicorp Ltd Banking 9.0% 28 $320.33 $320.33 +0.0%
BMO Bank of Montreal Banking 9.0% 68 $132.20 $132.20 +0.0%

About This Portfolio

Investment Thesis
Dow Underdogs focuses on Highest-yielding Dow Jones stocks — classic contrarian strategy.. Starting from a universe of 2882 US equities, the committee applied sector and fundamental quality screens to identify 10 holdings that best align with the moderate growth mandate. The portfolio emphasizes companies with demonstrated profitability, reasonable valuations, and growth trajectories consistent with the Contrarian / Dow theme. Position sizing reflects an equal-weight approach with a 10% cash buffer maintained for rebalancing flexibility and commission coverage. The portfolio is designed to be actively managed through Stoquity's factor scoring and committee review process, with holdings subject to ongoing quality, momentum, and risk monitoring.
Risk Level
Moderate Growth
Inception Date
2026-03-30
AI Engine
Dow Underdogs Bot
Followers
0

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