There are many money managers in the United States. They all have individual investment styles and approaches. Most of them choose a sector and dedicate their career to following it. They make strategic decisions in order to beat their respective benchmarks and therefore maximize investors’ returns. They all try to prove the Market Efficiency Theory wrong and actually beat “the market”, but more than 75% of them fall short of their mission. Fortunately, there still are those few managers who beat their benchmarks, and some of them do it consistently. We see the glass as half full.
We at Symmetric Advisors, Inc., have developed the unique investment system called the Prism Grid™ Portfolio. Please click on the link above to find out more information.
Our managing partners have over 60 years of combined investment experience. Our portfolios are designed strategically, managed dynamically, and reviewed tactically. They are designed to:
- Maximize risk adjusted returns, thus offer superior investment results
- Offer lower correlation to mainstream markets, thus be less affected by certain market volatility
- Outperform a benchmark over a 3-5 year time period