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Dynamically Rebalanced Portfolio
June 16, 2010 - 1:43 pm
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This investment process is intended to outperform S&P500 index while minimizes price volatility. It utilizes a core-satellite approach in creating a portfolio that reduces the downside risk without surrendering the upsides. A typical portfolio consist of a large ETF (core) position and a few other smaller positions (satellites) in equities and/or fixed incomes. The portfolio [...]
Model-Based Fixed Income
June 8, 2010 - 12:52 am
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This investment process ranks a pool of fixed income ETFs utilizing our macro-economic, relative-value, quantitative model. The model portfolio is created with the highest ranking assets from the list and are rebalanced at a variety of trading frequencies. Below is the simulated result of recent 500 trading days. (Click on the chart to zoom)
Equally Weighted Equity
May 7, 2010 - 7:59 am
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This investment process ranks a pool of highly liquid stocks and ETFs to be used in re-balancing the portfolio. The typical holding period of an asset ranges between 1 to 20 trading days. Below is the simulated result of recent 500 trading days. (Click on the chart to zoom)