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We follow the Nobel Prize winning investment strategy known as Modern Portfolio Theory. This theory has proven mathematically that over time, through the use of broad diversification across multiple asset classes and the utilization of top professional money managers, rewards will be enhanced and risk reduced. The Modern Portfolio Theory states that the asset classes choosen have more impact on the long-term returns than the choice of individual stocks and funds. Asset Allocation drives returns and not necessarily the choice of stocks, mutual funds or money managers.
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