To address frequent stock market volatility we have designed premium quality portfolios. We personally invest in these portfolios and recommend everyone considers their advantages.
Our systematic process is designed to safeguard investors from making emotional investment decisions. Everyone naturally gets excited to invest when markets are high but when markets are near lows they become nervous and want to sell. Notably, while the S&P500 stock market has gone up in the long-term, on average it declines between -10% to -20% approximately every 1.2 years and the last bear market pull back reached -34%! However, most investors don’t tend to go against their emotions. They find it nearly impossible to make investments at opportune times or consistently manage their market exposure. They need a solution that is systematic and tactical to navigate financial markets.
A professionally managed, diversified, CommonWealth multi-fund portfolio can help you navigate volatile financial markets. Well balanced and diversified by asset class, capitalization, geography, and investment style, our portfolios combine investments with tactical features that are well suited to steward your capital. We provide a unique advantage by selecting tactical mutual funds and add an overlay of “Alt” mutual funds for defensive strategies to further diversify your investments.
Call us to learn more specifics about the advantages of our portfolios.