I used Morningstar CPMS to back-test the strategy from May, 1992, to April, 2022, assuming an equally weighted 15 stock portfolio with no more than four stocks an economic sector. Once a month, stocks were sold if they fell below the top 35 per cent of the universe based on the above metrics, if any of the sector-relative valuation multiples exceeded 1.1 , or if dividend momentum turned negative.
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