"Recapture the
unclaimed money in your portfolio. Our
Sector Timing Report
gives you the power to outperform the
markets with sector rotation strategies."
Investors practicing a
"buy and hold" strategy give up a lot of unclaimed money in
their portfolio as its value swings up and down over time with
the rise and fall of market trends.
Would it not make more sense to "claim the gains" as they
present themselves in portfolio and avoid the major
downturns in a sector by selling the position?
The use of exchange traded funds and simple market timing
strategies allows an investor to invest in a diversified basket
of companies, accept higher reward outcomes, reduce portfolio
volatility risk, and dramatically reduce the annual fees you pay
each year.
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"In constructing optimal financial portfolios we find that sectors offer
higher potential returns and lower correlations compared to
standard equity breakouts based on market capitalization or
investment styles" |