We specialize in Investment Management Solution. Our algorithms,
tools, techniques, methodology and strategies help make better
returns on investment portfolios, maximize profits and minimize
losses.
ABARIS's PORTFOLIOS seek to preserve and grow capital by
producing absolute returns with reduced portfolio volatility and
manageable risk and drawdown. ABARIS invests in Equities and
Exchange Traded Funds (ETFs) spanning all the major world asset
classes including equities, bonds, real estate, commodities,
emerging markets and alternatives.
ABARIS's strategies utilize a quantitative approach with strict risk
management controls to actively manage the portfolio in an attempt
to control downside losses and protect capital. The wide
diversification coupled with prudent portfolio management may allow
ABARIS to perform in any economic environment. ABARIS seeks to
offer investors the potential advantage of achieving equity-like
returns with reduced risk and volatility.
ABARIS+Advantage Algorithmic Portfolio Management
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CUT THE STRESS OF INVESTING
ABARIS provides "private label"
portfolio management for select
independent RIA's, Broker/Dealers
and the clients of their Registered
Representatives. ABARIS takes a
top-down macro view with global
orientation in constructing its
portfolios. Our Global Allocation
management style enables clients to
obtain all three major asset
classes--global equities, fixed income
and alternatives--in one separately
managed brokerage account.
Portfolio selection is based on
proprietary algorithm that takes into
consideration several factors, including
- market cap, performance, volume,
volatility, liquidity. This is a continuous
screening process and ETF's/Stocks
are rotated based on selection criteria.
ABARIS works closely with
Advisors/Reps and Institutional
Investors to design custom investment
solutions based on variations of
ABARIS's main portfolio models.
ABARIS – BALANCED PORTFOLIO
seeks current income and moderate growth. It invests primarily in
ETF’s across a wide range of asset classes and is globally
diversified. To achieve its desired objectives this portfolio buys both
long and inverse ETF’s allowing it to hedge against declining market
conditions.
ABARIS – MODERATE PORTFOLIO
seeks long term capital appreciation and to a lesser extent current
income. It invests primarily in ETF’s across a wide range of asset
classes and is globally diversified. To achieve its desired objectives
this portfolio buys both long and inverse ETF’s allowing it to hedge
against declining market conditions.
ABARIS – GROWTH PORTFOLIO
seeks long term capital appreciation. It invests primarily in
Equities/ETF’s across a wide range of asset classes and is globally
diversified. To achieve its desired objectives this portfolio buys both
long and inverse ETF’s allowing it to hedge against declining market
conditions.
ABARIS -- ADVANTAGE PORTFOLIO
seeks long term capital appreciation through a long/short trading
strategy. It invests primarily in ETF’s/Equities across a wide range of
asset classes and is globally diversified. To achieve its desired
objectives this portfolio takes both long and short positions.
ABARIS+CUSTOM PORTFOLIO
ABARIS's Custom models are designed and created as per Clients
Specification and allocates funds accordingly. These may be ETF’s
or Equities or other instruments.
We believe our
investment approach,
algorithmic system and
customized services are
truly "changing the
game" in investment
management.
Contact Us For Alternative Strategies & Managed Portfolios
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