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Our investment philosophy revolves around identifying the current phase that an asset class or economy is experiencing of its cycle: expansion (bull market), peak (top), contraction (bear market) and trough (bottom). The ability to identify the current phase of the cycle across a broad range of non-correlating assets is the hallmark of Astor’s approach. 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 believe that the results over an entire economic cycle will outperform traditional equity benchmarks.
There is no assurance that the programs will produce profitable returns or that any account will have results similar to that of the composite. Past performance is not a guarantee of future results and there is no assurance that the fund will achieve its investment objectives.
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