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Provin's investment strategy as outlined graphically
in the table to the left illustrates the fund's top down investment
approach.
Valuation and the macroeconomic intermediate- to long term
prospects for the US stock market stand at the starting point
of the investment selection process. Generally, stocks and
stock sectors that range far above or below their historical
valuation bands are considered over- or undervalued. The long
and short exposure in the portfolio is determined by the number
of sectors that are over -or undervalued.
The timing of the entry and exit points of specific positions
is then determined after evaluating proprietary short term
indicators, including technical and sentiment models. These
carefully (back) tested indicators include volatility studies,
options indicators, oscillator based systems and some Fibonacci/cycle
based systems.
In addition , PROVIN hedges the portfolio in a disciplined
manner and downside risk is therefore limited. Individual
positions are dynamically adjusted based upon changes in the
portfolio weighting due to market events.
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