We’re in a period of high inflation, with a war disrupting energy markets and the Federal Reserve raising interest rates.
An investment approach that can take advantage of price movements across all assets — not only stocks and bonds — might serve you well, especially if volatility keeps you up at night, tempts you to sell into a declining market or causes you to chase performance. The objective of the Standpoint Multi-Asset Fund is to perform both functions within the same portfolio, using a systematic approach to futures trading to limit risk while still pursuing long-term growth. That way an investor won’t have to make their own risk-management allocation decision among funds, and hopefully will be able to limit their own emotional reactions to market turmoil. — Eric Crittenden, co-manager of the Standpoint Multi Asset Fund.
For futures trading, “we only trade exchange-traded plain-vanilla liquid futures contracts on regulated futures exchanges,” Crittenden said. When describing the fund’s broad approach, he said: “What we give up is all the excitement,” as the highest highs and the lowest lows are avoided.
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