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At Asset Solutions, we believe that limiting losses is as important to building capital as is maximizing gains. To achieve this, we focus on employing an active money management strategy. We analyze markets on a daily basis to ensure your investments are safe. We employ proprietary "active strategies" that are designed to take advantage of changing opportunities in the market, while preserving capital.

If our analysis indicates high stock market risk, we move assets from the stock market into more conservative investments, particularly bond or money market fund(s).

Through this practice, we can limit significant losses typical to stock retention during major stock market declines. In addition, we also employ various hedging techniques to help lower your investment portfolio’s volatility and market risk. We invest in funds that are pools of securities, namely exchange- traded funds (“ETFs”) and mutual funds, remaining conscious of our company’s objective’s and our client’s interests.