
"There is only one side of the market and it is not the bull side or the bear side, but the right side." - Jesse Livermore
Sojourn is firmly committed to the idea that the management of risk is equally important as investing for profits. Therefore, we utilize an active approach to managing one's investments. This includes using a variety of distinctly different, low-correlated strategies to accommodate the investor's approach to risk.
Our proprietary blend of low and non-correlated mutual fund strategies and management styles include the following:
EQUITIES
- Trend-oriented
- Trend Momentum
- Diversified Growth
- Diversified Strategic Long Term
- Inverse ("short") Strategies
- Long-Short strategy
FIXED INCOME
- High-Yield Bond
- Emerging Markets Bond
- Convertible Bond
SECTORS
- Commodities
- Health
- Utilities
Please feel welcome to contact us to discuss how we may be able to assist you and your firm.
