Gaskin Wealth Management
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Gaskin Wealth Management, based in Moraga CA, brings world-class investment management services to you. For each client, we develop a risk tolerance profile and a plan that will be combined with our rules-based process to determine an appropriate investment allocation. We believe that there is a time for wealth accumulation as well as a time for wealth preservation, and having the ability to adjust your allocation between these two financial settings is very beneficial.
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At Gaskin Wealth Management, we use a rules-based process, also known as the relative strength strategy, that is based on supply and demand. First, we compare all areas of the market to determine which area is outperforming the others. Second, we invest in those top performing areas and adjust the investments on an ongoing basis to make sure they are still outperforming.
The rules for our investment models are based on a process called Relative Strength. The history of Relative Strength goes back to the early 1930's. The calculation is simply done by dividing the price of one investment by the price of another and then multiplying that number by 100. Because of this simple equation, the concept of Relative Strength can be applied across the entire spectrum of financial products.
At Gaskin Wealth Management we are proud to offer a simple and effective solution for 401(K) participants. To serve our clients, Gaskin Wealth Management uses a rules-based process to select the best performing investments within a client's 401(K) plan menu. We then continuously monitor each client's investments throughout the year to re-align and affirm that the client is invested in the top performing options.
At Gaskin Wealth Management our approach to investment management is based on the laws of supply and demand. The same approach we use in managing 401(K) investments we apply to the management of all available investments. We have found that reviewing balance sheets, interviewing company management and analyzing a company's product is not very productive as the answers we receive are not always consistent with what the reality is.
Our Fixed Income model compares all areas of the fixed income market to identify major themes in the fixed income market, have exposure to those themes that are controlled by demand and eliminate exposure to those controlled by supply. It is the dispersion of returns within the fixed income market that creates the opportunity for our process to identify strong trends to follow, as well as those critical to avoid.
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