Atlas provides Investment Management Services across multiple asset classes with unique sub-strategies that capitalize on specific predictive factors implemented in a systematic, disciplined, unemotional, academically rigorous investment process.
Our investment approach is backed by academic research and is time-tested:
Value: Increase weights in asset classes that are attractively priced
Catalyst: Use price trends as a catalyst for determining when to enter and exit positions
Breadth: Analyze choices in a more granular level by asset class, sector, country and currency
Discipline: Evaluate and adjust allocations at least quarterly
Risk managed: Reduce portfolio risk if portfolio options are unappealing
Interactive: Click each node to expand /collapse.