Dynamic Real Asset

The Dynamic Real Asset Strategy is a multi asset class strategy that seeks to achieve better returns than the Barclay’s Aggregate U.S. Treasury Inflation Protection Securities Index with comparable volatility and  peak-to-trough drawdowns.  The multi asset class strategy can include ETF, ETN, or index fund investments in real asset classes including material and energy equities, real estates, MLPs, commodities, gold and U.S. Treasury Inflation Protection bonds.  It is a flexible strategy that will include allocations that can either be focused or diversified depending upon the risk environment. The strategy can be used by investors who want to have their assets outlast inflation.

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