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Prior to founding T2 Asset Management, Dan held various positions at some of the largest investment firms in the country as a trader, portfolio manager, and strategist. With nearly 20 years of professional experience, Dan has managed billions of dollars for institutions, endowments, foundations, pension plans and individuals. Dan received his MBA in Finance from DePaul University. He is a Chartered Financial Analyst and a member of CFA Institute as well as CFA Society of Chicago.
Registered Investment Advisor (RIA).
Bonds, Commodities, Dividend stock ideas & income, ETFs, Mutual funds, Options, Stocks - long
T2 Asset Management, LLC
T2 Asset Management was founded by two Chartered Financial Analysts to deliver professional money management services directly to investors with a focus on reducing volatility in client portfolios. There are thousands and thousands of investment advisors offering the stock picking services of a mutual fund or
an analyst's recommendation. The track record of stock picking is fairly dismal. With so many managers using the same formulas and techniques how could there be any bargains left lying around? Our focus is fundamentally different from the average strategy. The industry remains focused on attempting to beat the averages by either picking the best stocks, piling on risk or both. We feel that a better solution is to help investors participate in rising markets and avoid being invested in poor conditions. We use diversified low cost exchange traded funds to achieve our objectives. Our process begins with analysis of current economic conditions including employment, manufacturing, income growth, current fiscal policy and of course the cost and availability of credit. We combine this with analysis of corporate sales, earnings, the drivers of earnings, the overall valuation of the markets and the asset classes within them. With our fundamental view in place, we use our proprietary T2 Dynamic Risk Model to detect defensive posturing within the markets. When both processes detect reason for caution, we improve returns by incrementally moving to cash positions and sidestepping market volatility.
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