We don’t believe that average investment strategies are okay
We engage in a tactical asset allocation process where we identify, through technical analysis, whether the broad trend of the market is up or down. When it’s up, we then seek to identify those sectors leading the market higher and seek to buy the strongest stocks within those sectors.
We buy strength and sell weakness
Our investing methodology is a system of sector rotation, based on relative strength. We believe, when executed properly, this tactical process performs better than modern portfolio theory’s “buy and hold” approach, or as we call it, the “sit and take it” approach. We prefer to proactively allocate funds to stronger asset classes, getting out of the bad asset classes, and minimizing losses.
We enjoy being different by taking a very active approach, helping people avoid the devastating major downside