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Are you tired of your buy-and-hold investment advisors treating you like a child, patting your hand, and telling you just hold, it's going to be ok while your portfolio loses 30%, 40%, or even more? It can take years just to recover and get back to even. There's a better way. In this presentation, Mike Turner will show you how his Turner Quant Advantage portfolio is up more than 21% this year using high-level computer programs that measure the markets and identify the best trades for any market condition. Isn't it time you stop investing like everybody else?
Mike Turner, president and chief portfolio manager of Turner Capital Investments, LLC, has a strong financial, mathematical, computer science, and engineering background. He takes a disciplined, rules-based approach to trading with the use of his unique "Market-Directional" investment methodology. Mr. Turner is the author of the widely read and popular books, 10: The Essential Rules for Beating the Market and Rule 1 for Investing: How to Always Be on the Right Side of the Market. He believes that buy-and-hold is one of the highest-risk investment strategies that investors follow. His approach is to keep his clients in strong, up-trending stocks and index ETFs in bull markets; switch to high-yielding money market funds in transition markets; and invest client capital in technically strong, up-trending inverse ETFs in bear markets. With this approach, Turner Capital clients enjoy growing their capital in both bull and bear markets; and remain safely on the sidelines in high-risk transition markets.
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