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Why our strategies?

Our Tactical ETF strategies have been designed to deliver strong performance results through difficult market environments and potentially provide more of what you want – good returns without suffering gut-wrenching drawdowns.

Our Tactical ETF strategies have been designed to deliver strong returns over long time horizons, while being less risky than the traditional 60% stock and 40% bond portfolio.

Our Tactical ETF strategies allow you to reduce your reliance on fixed income as the only tool to decrease your portfolio risk. With interest rates still at historically low levels, we believe fixed income will likely be a drag on returns and actually adds risk to portfolios.

Combine our Tactical ETF strategies with your other portfolio allocations to seek to improve the returns and lower the risk of your entire portfolio.

Long-term Annualized Returns versus Volatility
Long-term Annualized Returns versus Max Drawdown

Lower volatility

Lower drawdowns

Verified track record

Strong returns

Transparent

Highly liquid

Actively managed to protect capital

Low correlations to traditional portfolios

Lower volatility

Lower drawdowns

Verified track record

Better returns

Transparent

High liquidity

Actively managed to protect capital

Low correlations to traditional portfolios

Our Tactical ETF strategies can be utilized on the following platforms:

Our Strategies

Trend Plus

A rules-based trend following strategy that strives to participate in market upside while avoiding the downside.

Sector Rotation

A rules-based momentum strategy that seeks to capitalize on sectors with strong momentum while avoiding market segments that exhibit weakness.

TPSR

A blend of Trend Plus and Sector Rotation that seeks to offer strong performance and diversification benefits.


Trend X

Aggressive trend following with leverage for seeking enhanced return potential with the added risk profile.

Customized Strategies

MSCM also offers customizable investment strategies tailored to specific client needs.


What's Your Risk Tolerance?