✔STAY INVESTED
✔OUT OF TROUBLE
✔WORRY LESS

THE PROBLEM 
 Market damage while staying invested  

OUR SOLUTION 
Tactically hedge downside 

HOW MOST

dEAL With RISK



1.TIME

RIDING OUT STORM


2.DIVERSIFICATION

mostly BONDS

 

 

hALLMARKS OF INVESTING

WE EMBRACE BUT A problem…


This leaves you exposed!

The numbers you need to know

-40%

Bear Market Average

4 Years

Time to Breakeven of average Bear Market 

60/40

2009: Took 3 years to breakeven with typical 60% stock/40% bond diversified portfolio

1%

Possible Bond efficacy loss due to low interest rates & high inflation  

INVESTING PROCESS ▶ ENHANCED  

1. Consultation

2. Build Portfolio

3. Evaluate Markets

4. Hedge Strategy 

OUR VALUE ADDED

1. ASSET ALLOCATION

Most advisors stop here.



Using our "Investing Best Practices" we will build a globally diversified portfolio designed to:

 

  • Reach your goals


  • Within your risk tolerance and


  • Time frame 



Then the hard work begins...

2. HEDGE STRATEGY

A twelve step “risk thermostat” proprietary program modulates as the equity market bull/bear cycle progresses and hedges when most advantageous.


As the economic tides shift, we transition holdings to capitalize on both Bull and Bear environments, thus providing a worry free, all-weather solution for the long-term.


  • Call writes are used as a first layer of hedging after parabolic moves



  • S&P Puts are then added during waning momentum


  • Lastly other long term tactics employed should a bear market develop

All-Weather Plan

INVESTMENT PORTFOLIOS

Managed on your behalf, we offer key portfolios that are fully scalable to satisfy your needs. All contain our Dynamic Hedge Strategy.

Global Equity

Wealth Generation

Equity + Fixed Income

Stability & Income Addition

Global Macro - All Assets

Commodity & Currency Overlay 

Dynamic Hedge Strategy

Alpha & Absolute Return Focused
Diversified Portfolios + Hedge Strategy = Smarter Investing

Contact Us

10 Kings Road, Suite 317
Madison, NJ 07940
Contact Us
(973) 968-4080