Global Active Asset Allocation (ETFs)
Our Active Asset Allocation strategies seek to preserve and grow capital from investments in the U.S. and abroad using Exchange Traded Funds which enables broader portfolio diversification and lower trading costs and fees. Our quantitative and qualitative screening approaches helps us identify the best investment opportunities at the most attractive prices. The strategies employ risk management controls to actively manage the portfolio in an attempt to control downside losses and protect capital. We believe broad diversification and active portfolio management will help us perform in various market cycles.