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A diversified portfolio of financially strong companies is the best way for investors to participate in long-term
U.S. market appreciation.
Because future market behavior cannot be reliably forecast, and rotation is a persistent phenomenon in equity markets, Argus constructs portfolios using the following key disciplines:
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Independent Fundamental Research
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Financial strength as a primary stock selection criterion
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Broad diversification using uncorrelated revenue streams
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Counter-momentum re-balancing of holdings to reduce risk
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