Our “Gemini Program” is designed to provide clients with the potential to make money in both up and down stock markets by Tactically Allocating between distinct assets classes such as bonds, stocks, precious metals and cash on a frequency no Mutual Fund or client can achieve. The 9 separate models have different managers and different strategies and are typically Algorithmically Modeled a Computer Traded. Each Manager is responsible for his own program and the programs are designed to be used in balance; thereby potentially delivering higher profits with lower overall risk than the benchmark S&P 500.
While past performance is not a guarantee of future results we believe that these Models and Tactical Allocations performed throughout the 2007/2008 crash in a manner and result; far superior to most ETF’s, most Mutual Funds and we recommend that you make an appointment to review these models.
