Products


products

Quantitative Strategies

RPg- Tactical U.S.

Utilitizing 10 of the 11 major sectors of the S&P 500. Cash used during bear markets.

RPg- Tactical U.S.- FT

Utilitizing 10 of the 11 major sectors of the S&P 500 through First Trust AlphaDEX® ETFs. Cash used during bear markets.

RPg- Tactical Global balanced

Strategically allocated across 4 broad asset classes. Cash used during bear markets

Quantimental Strategies

TAG- Tactical Income

Unconstrained global income portfolio seeking the best income opportunities in any economic and interest rate environment.

TAG- Tactical Conservative

Totally allocated across multiple global asset classes. Risk tolerance targeted to be 20% equity and 80% fixed income.

TAG- Tactical Moderate

Totally allocated across multiple global asset classes. Risk tolerance targeted to be 60% equity and 40% fixed income.

TAG- Tactical Growth

Totally allocated across multiple global asset classes. Risk tolerance targeted to be 80% equity and 20% fixed income.

TAG- Tactical Equity

Unconstrained global equity portfolio seeking to generate returns in line with global equity markets.

Quantitative Strategies

Quantimental Strategies

RPg- Tactical U.S.

Utilitizing 10 of the 11 major sectors of the S&P 500. Cash used during bear markets.

TAG- Tactical Income

Unconstrained global income portfolio seeking the best income opportunities in any economic and interest rate environment.

RPg- Tactical U.S.- FT

Utilitizing 10 of the 11 major sectors of the S&P 500 through First Trust AlphaDEX® ETFs. Cash used during bear markets.

TAG- Tactical Conservative

Totally allocated across multiple global asset classes. Risk tolerance targeted to be 20% equity and 80% fixed income.

RPg- Tactical Global balanced

Strategically allocated across 4 broad asset classes. Cash used during bear markets

TAG- Tactical Moderate

Totally allocated across multiple global asset classes. Risk tolerance targeted to be 60% equity and 40% fixed income.

TAG- Tactical Growth

Totally allocated across multiple global asset classes. Risk tolerance targeted to be 80% equity and 20% fixed income.

TAG- Tactical Equity

Unconstrained global equity portfolio seeking to generate returns in line with global equity markets.

Contact us today

(866) 726-5150
info@riskparadigmgroup.com