Smart Portfolios is a Huntsville-based investment firm that utilizes the expertise of an unaffiliated Nobel Prize-winning economist to develop superior asset allocation models for investment professionals. Their Dynamic Portfolio Optimization system aims to accurately measure risk and expected returns of securities and markets, employing advanced risk-managed investment strategies to optimize risk-adjusted returns.
With a focus on managing risk at every stage of the investment process, Smart Portfolios incorporates proprietary tools for quantifying risk and utilizes Expected Shortfall, a more precise measure of risk. Their goal is to help investors strategize better and make intelligent investment decisions based on a scientific approach to asset allocation and risk management.
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