We understand there are many competitive choices today for advisors and reps. We think there are very good reasons to partner with us. It starts with understanding what we think are our most important differentiators that explain our investment philosophy:
Global diversification across asset classes reduces portfolio risk and volatility by limiting exposure to individual risk factors.
Forward-looking risk assessment through fundamental analysis anticipates market events and trends rather than reacting to them.
Portfolios adapt to evolving risks and opportunities, rather than switching quickly between assets.
All the JAForlines Global Tactical Portfolios have the ability to raise cash to protect against volatile market downturns.
Our approach to portfolio management.
Read it here.
Leverage the resources and global expertise of the JAForlines Global Product Suite Team to address the investment objectives of your foundation or endowment.