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A volatility index hedging strategy built for this market
I plan to maintain my current asset allocation strategy.
Manager Commentary Robert Zingale on 7 May 2012
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This model should benefit from calmer market waters ahead
The model remains positioned to benefit from reduced market volatility ahead.
Manager Commentary Amin Khakiani on 7 May 2012
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Strong earnings continue to power this market rally
The most bullish market factor is still the upward trend in earnings estimates for the S&P 500 in 2012.
Manager Commentary Richard Moore on 7 May 2012
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Here's why the big money likes stocks
This is the sort of bullish consensus I like to see; the Big Money is optimistic without being euphoric.
Manager Commentary Charles Sizemore on 4 May 2012
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Economy is moving slowly ahead, latest jobs data show
Gregg Giboney, Covestor manager of the Dividend and Growth model, puts the employment data in perspective.
Manager Commentary Gregg Giboney on 4 May 2012
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Holding tight to Argentina’s YPF
Manager Chris Rees says he is holding tight to Argentina's YPF
Manager Commentary Chris Rees on 4 May 2012
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Warning lights are flashing
Quacera's John King says his system is issuing an early warning signal for the markets.
Manager Commentary John King on 4 May 2012
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In search of steady and proven performers
Our favorite investments are undervalued wide economic moat businesses that typically sell products or services that have fairly predictable demand in both good and bad times.
Manager Commentary Sherman Lee on 3 May 2012
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Sell in May? Take a look at these numbers
An important question for investors is whether the lower historical returns from May through October are likely to be repeated in the future.
Manager Commentary Patrick Larkin on 3 May 2012
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The U.S. stock market is in a correction mode
The absolute price momentum of equity funds is declining.
Manager Commentary Gary Harloff on 3 May 2012
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