What to Expect From Maguire Asset Management
Maguire Asset Management prides itself in treating our clients as our partners. We understand that our success is dependent on our clients’ success so our goal is to provide optimal stability in volatile markets. We believe our strength is our volatility-responsive approach to investing. In periods of heightened volatility and risk we lower exposure to high risk assets and increase exposure to lower risk assets. Our investment decision-making is tactical and data driven. We don’t believe you succeed by holding on and riding out an investment storm; we believe you want to avoid them. Investors can’t afford to lose half of their investable assets like they did during the banking crisis of 2008-2009. We believe that by actively monitoring and avoiding high volatility periods in the markets we can provide greater stability to our portfolios which will result in superior returns on a risk-adjusted basis.
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