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Provin

 
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S T R A T E G Y
 
 
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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.

 
 
Investment Methology
 
 
Macroeconomic Analysis
Valuation Assessment
Sector / Stock Evaluation

 
 
Stock and Stock Sector Selection
 
 

Provin Proprietary Tools

     

Risk Management

 
 
Risk Analysis Model
     
Portfolio and Position Hedging
 
 
Market Timing
     
Portfolio Stress Testing
 
 
Technical Analysis
       
 
Trade Implementation
Portfolio Construction

 
 
Position Monitoring & Adjustment
Position Analysis

 
 
Sector and Position Exposure Adjustment