PVG brings a highly experienced team management to your portfolio. Our management experience includes volatile as well as upward trending markets dating back to the 1960's. We celebrate our independence from consensus management and marketing pressures.
Managing money since 1985, Mr. Adams prior experience includes serving as Chief Investment Officer and portfolio manager for the Berger Mutual Funds, and as a portfolio manager for Kemper and the Dreyfus/Founders mutual funds.Adams was recognized as having an outstanding long-term track record at multiple large mutual fund families.
Managing money since 1985, Mr. Adams prior experience includes serving as Chief Investment Officer and portfolio manager for the Berger Mutual Funds, and as a portfolio manager for Kemper and the Dreyfus/Founders mutual funds.Adams was recognized as having an outstanding long-term track record at multiple large mutual fund families.
Services
PVG was founded in 1987 and we began managing Loss Averse Portfolios during 2001. PVG manages Loss Averse Investment Strategies for institutions and individuals. Our investment approach concentrates on protecting capital during market downturns and providing an absolute return.
Risk management includes the use of inverse Exchange Traded Funds (ETF's), price targets, moving stop losses, and maintaining substantial cash balances when investment conditions are unfavorable.We currently have offices in Centennial, Colorado, Clearwater, Fort Lauderdale and Jupiter Florida and Troy, Michigan.
Risk management includes the use of inverse Exchange Traded Funds (ETF's), price targets, moving stop losses, and maintaining substantial cash balances when investment conditions are unfavorable.We currently have offices in Centennial, Colorado, Clearwater, Fort Lauderdale and Jupiter Florida and Troy, Michigan.
PVG Asset Management was founded in 1987 and is employee owned. PVG began managing Loss Averse Investment Strategies during 2001. Our management group believes successful investment management today requires ascribing to several basic philosophical views. An absolute return investment target, or the achievement of positive returns through market cycles rather than relative performance is the key to wealth building under current market conditions.
PVG's Asset Management principles of Protection, Value & Growth are embedded in the Tactical Core Strategy. The strategy is highly flexible and will position to quickly take advantage of changing market conditions. In negative markets the strategy will Protect Value by decreasing the Core position, selling any satellite positions and it may add hedges to mitigate risk.
The Tactical Total Return Strategy is invested in Exchange Traded Funds as well as individual securities. ETF's are security portfolios that that provide broad diversification since they each include a dozen to hundreds of individual stocks or bonds. Each ETF represents a specific economic, industry, and geographic sector of the U.S. and international markets.
Because our primary objective is capital protection, PVG employs a multi-level risk management approach. Security risk is handled with fundamental and technical price targets, along with stop loss orders. Market risk is managed by allowing cash to rise when attractive alternative investments are not available.
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