ETF Portfolios

Market Guard Model Portfolios

Market Guard™ ETF Model Portfolios are managed to specific equity and fixed income targets and are implemented through the use of ETFs (Exchange Traded Funds). The model portfolios will invest in multiple asset classes ranging from US Equities, International Equities, Fixed Income, Commodities and Real Estate. Along with global diversification, Market Guard™ maintains an acute awareness of the individual standard deviation and maximum drawdown to each portfolio and investment methodology. We believe in the importance of both of these measures, as we feel investor success is created by instituting a globally diversified portfolio, with an ability to help understand and control volatility.

Approach

Step 1

Evaluate, select, and implement individual investment positions, to create a fully globally diversified portfolio.

Tactical Methodology


DynamicTarget

Strategic Methodology


Static

Step 2

Determine the optimal asset allocation among the individual investment positions.

Tactical Methodology


DynamicTarget

Strategic Methodology


Static

Step 3

Utilize a Non-Emotional, Methodical, Mathematical approach through the use of Trend Identification Analysis (TIA) to assess the individual positions in the portfolio, to signal a possible opportune time to HOLD, SELL or BUY the underlying investment position.

Tactical Methodology


DynamicTarget

Step 1

Evaluate, select, and implement individual investment positions, to create a fully globally diversified portfolio.

Tactical Methodology


DynamicTarget

Strategic Methodology


Static

Step 2

Determine the optimal asset allocation among the individual investment positions.

Tactical Methodology


DynamicTarget

Strategic Methodology


Static

Step 3

Utilize a Non-Emotional, Methodical, Mathematical approach through the use of Trend Identification Analysis (TIA) to assess the individual positions in the portfolio, to signal a possible opportune time to HOLD, SELL or BUY the underlying investment position.

Tactical Methodology


DynamicTarget

Market Guard Asset Allocation Models

Static

Strategic Asset Allocation


A fully invested model portfolio is represented by 100% Equities and 100% Fixed Income. The model portfolio will be assessed and Rebalanced on an Annual Basis.

Asset Allocation Model Details

Target

Tactical Asset Allocation


A fully invested model portfolio is represented by 100% Equities and 100% Fixed Income. If necessary, the model portfolio can reduce the Equity allocation to 50%.

Asset Allocation Model Details

Dynamic

Tactical Asset Allocation


A fully invested model portfolio is represented by 100% Equities and 100% Fixed Income. If necessary, the model portfolio can reduce the Equity and Fixed Income allocation to 0%.

Asset Allocation Model Details