Julex Dynamic Income Recognized as A Top Guns Performer by Informa Investment Solutions for Q2 2017

BOSTON, MA –August 16, 2017 – Julex Capital Management, LLC., announced today that its Dynamic Income was recognized with “Top Guns” status within the Informa Investment Solutions’ PSN investment manager ranking database for Q2 2017. Dynamic Income for One-Year Performance in Core Fixed Category for One-Year Performance in ETF US Fixed Income Category   Utilizing … Read more

Julex Capital Recognized as Top Guns Manager by Informa Investment Solutions for Q1 2017

BOSTON, MA – May 18, 2017 – Julex Capital Management, LLC., announced today that its Dynamic Income, Dynamic Sector and Dynamic Emerging Market strategies were recognized with “Top Guns” status within the Informa Investment Solutions’ PSN investment manager ranking database for Q1 2017. JULEX DYNAMIC INCOME Informa Investment Solution’s PSN “TOP GUNS” Status for Recent-Quarter … Read more

Dynamic Developed Market

The Dynamic Developed Market strategy is an international equity strategy that seeks to achieve better returns than the MSCI EAFA index with lower volatility and lower peak-to-trough drawdowns in a full market cycle.  The strategy rotates among the country ETFs in the equity markets of developed economies.  It has the flexibility of investing only in … Read more

Dynamic Commodity

The Dynamic Commodity is a strategy that seeks to minimize downside risk while maximizing upside potentials by tactically positioning in commodity ETFs with the flexibility of moving to bonds and cash completely. It aims to outperform  Bloomberg Commodity Index with lower volatility and lower peak-to-trough drawdowns in a full market cycle. The strategy rotates among … Read more

Risk Managed Multi Factor REIT

Risk Managed Multi Factor REIT is a quantitative strategy aiming to deliver both outperformance over FTSE NAREIT All Equity Index during market upswings and downside management during severe market downturns. It combines our multi factor stock selection model with our tactical risk management tool.  When the market is identified as “risk on”, the strategy normally … Read more

Risk Managed Multi Factor MLP

Risk Managed Multi Factor MLP is a quantitative strategy aiming to deliver both outperformance over Alerian MLP Index during market upswings and downside management during severe market downturns. It combines our multi factor stock selection model with our tactical risk management tool.  When the market is identified as “risk on”, the strategy normally invested in … Read more

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