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Astor Financial is a firm built on the belief that investment opportunities arise based on the ability to identify fundamental trends and changes in the economic environment.
Our investment philosophy revolves around identifying, with a high degree of probability, the current cycle an asset class or economy is experiencing: expansion (bull market), peak (top), contraction (bear market), and trough (bottom). The ability to identify cycles within a broad range of non-correlating assets can generate amazing long term risk-adjusted returns. By adhering to a disciplined strategy of identifying the current phase of the business cycle for each sector or asset class and continuously monitoring risk and the relationships between those assets, we are confident that the results over the entire cycle will greatly outperform traditional equity benchmarks.
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