Our Flex AdvantageTM Tactical Allocation ETF Portfolios are diversified and actively managed. As market conditions warrant, portfolio adjustments are made to a conservative, moderate, or aggressive allocation, with the objective of achieving absolute returns in any market. The progressive investment strategies used in these portfolios keep investors ahead of market trends, reduce risk, and protect capital in volatile markets.
Each one of these progressive investment strategies and ETF model portfolios are published with exact positions and weights. Action Alerts and instructions are also provided to subscribers to assist them in making timely adjustments in their portfolio's allocation.
Our Enhanced Return Equity & Income Strategy ETF Portfolio provides investors with broad equity market exposure with an implied volatility hedge to help protect capital. This is accomplished by allocating capital among three principal components: equity, cash, and VIX mid-term or short-term futures. During extended bullish market conditions, capital is allocated towards S&P 500 Growth or High Quality Factor based ETFs and inverse VIX Futures ETNs.