•Capture broad equity market upside while creating higher income with less volatility
Investment Strategy
Actively manage a diversified equity portfolio using, macro factors, fundamental valuation, and technical tools to establish thematic positions
Low-cost, highly liquid ETFs are mainly used to establish broad market exposure
An option overlay strategy is utilized to create income and manage portfolio outcomes:
Cash secured put-write approach is used in a diversified manner across various sectors, security types, price points, and expiry dates. Our diversification strategy seeks to optimize the relationship between income created and while minimizing portfolio gamma risk, exercise risk and overall portfolio risk. i.e., smartly capturing volatility risk premium.
Covered calls are selectively sold on the portfolio holdings to create additional income and manage portfolio risk
This strategy avoids the use of leverage to enhance portfolio predictability, liquidity, and transparency