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Products > Single Manager Products

US Equity Smart Beta

Our smart beta approach can be best termed as Risk Adjusted Return Based Sector Rotation. This strategy attempts to deliver better risk adjusted returns than conventional market cap weighted indices by using an alternative weighting scheme.

Our single manager portfolios are traded in-house and offered through a separately managed account.
All portfolios are systematically created, dynamically rebalanced and risk managed to generate low volatility alpha.

If you are a QEP (Qualified Eligible Participant) as defined by the Commodity Exchange Act, please contact us for more information.

For more information please email us at or call +1 (561) 623-5310.

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