Our investment strategy is quantitative and methodical in nature. We follow an academically proven investment strategy, “Modern Portfolio Theory”, which won a Nobel Prize in Economics in 1990. Modern Portfolio Theory states that risk can be reduced through diversification and evaluation of the historical inter-relationship of the various assets in a portfolio.
Chapwood Capital Investment Management is unique because we provide extensive Education in important financial matters and strategies so investors can make their own financial decisions. At Chapwood Capital Investment Management, all money remains in the investor’s control.
Our approach to money management ignores the narrow approach of attempting to beat the performance of individual markets and applies a much broader method of devising strategies. To provide the services that our clients require today, we utilize integrated investment systems, which include all of the computer models and ancillary services required to develop and manage your portfolio in a sophisticated asset allocation program.
· A disciplined approach with no opinion, emotions, or judgment.
· An ability to impartially measure potential risk and reward.
· The power to process a significant amount of information efficiently.
· A powerful complement to top-down asset allocation and fundamental research.