''Investing Systems Inc.: Investors Find Growth, And Capital Preservation, With The Gottlieb Financial Report''.Business Editors AMELIA ISLAND Amelia Island is one of the southernmost of the Sea Islands, a chain of barrier islands that stretches along the east coast of the United States from South Carolina to Florida. It is 13 miles long (21 km) and approximately 4 miles (6 km) wide at its widest point. , Fla.--(BUSINESS WIRE)--Feb. 15, 2002 Investing Systems Inc., announces a partnership with Gottlieb Financial Inc. to offer risk-averse investors a powerful portfolio strategy using exchange traded funds Exchange Traded Funds (ETF) Also known as ETF. A basket of stocks similar to an index mutual fund. However, there are a number of important differences between ETFs and mutual funds. (ETF'S). "In the wake of recent market scandals, it's hard to know whom to trust. Investment plans that are heavily dependent on individual stocks can be devastated dev·as·tate tr.v. dev·as·tat·ed, dev·as·tat·ing, dev·as·tates 1. To lay waste; destroy. 2. To overwhelm; confound; stun: was devastated by the rude remark. in a hurry. That is why we `own the market', almost in it's entirety, with a strong eye towards growth, and even stronger eye to capital preservation," said David Gottlieb
David Gottlieb (b. 1911, d. 1982), a professor of plant pathology at the University of Illinois at Urbana-Champaign (1946-1982), was a pioneer in the field of fungi physiology and antibiotics for . The GOTTLIEB Financial Report is a buy/sell discipline and an asset allocation Asset Allocation The process of dividing a portfolio among major asset categories such as bonds, stocks or cash. The purpose of asset allocation is to reduce risk by diversifying the portfolio. strategy for risk-averse investors. The goal is to reduce risk in uncertain markets and provide guidance through a buy/sell discipline to reduce portfolio risk and improve asset performance. Cash is an important element of the strategy along with exchange traded unit trusts of index funds to achieve superior risk-adjusted returns Risk-Adjusted Return A measure of how much risk a fund or portfolio takes on to earn its returns, usually expressed as a number or a rating. Notes: This is often represented by the Sharpe Ratio. The more return per unit of risk, the better. . "We are very excited to offer the Gottlieb Financial Report on the Investing Systems Network." said Doug Newberry of Investing Systems. "His strategy of balancing exposure and diversifying among Exchange Traded Funds is very timely in the wake of recent events." The goal of the Gottlieb Financial Report is to reduce risk in uncertain markets and provide guidance for balancing portfolios using technical and fundamental indicators. Using exchange-traded unit trusts of index funds along with cash, we offer a superior portfolio strategy, eliminating company specific risk. For additional information visit: http://www.buy-sell-discipline.com/. |
|
||||||||||||||

Printer friendly
Cite/link
Email
Feedback
Reader Opinion