The strategy uses a proprietary trading algorithm that relies on quantitative research, technical analysis and historical price movements of the S&P 500 Index to adjust the portfolio’s daily market exposure.
We have developed a proprietary algorithm that provides the signals which are adhered to by the investment advisor.
We will not take a second position that offsets the first; we are either long or short but not both simultaneously.
Risk management is an integral part of what we do at Parlan Financial.
Discuss your current investment status with Helyn Bolanis
by calling (800) 537-1103