Signal Sigma’s core product are the various investment strategies.

We present the latest trades, performance and portfolio allocation in one easy to read dashboard. Shown here is the Enterprise strategy, that directs our overall Asset Allocation process. Our original intention was to improve upon the classic 60% Stocks - 40% Bonds portfolio. By adding Commodities and Gold into the mix, risk is even better diversified. This strategy uses just 4 ETFs (SPY, TLT, GLD, DBC) as proxies for the 4 main asset classes, with CASH as an implicit 5’th. It is simple to follow, very stable in drawdown periods and efficient in terms of trading costs. That is why we use it as the CORE model in all of our subsequent strategies.

Enterprise delivers 8-10% annual returns, with a maximum drawdown of 12%.

At a certain level, every other model is “related” to Enterprise. The portfolio template that we use in Signal Sigma always indicates positioning versus the 5 critical asset classes - a nod to the Enterprise Strategy.

 

DEMO - Enterprise Strategy


Strategy Performance vs. SPY last 200 trading days


Strategies

 
 
 

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Quarterly Performance Reports:

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