At Wynne Capital Management we believe that the best way to achieve consistent
returns over time is to avoid large losses of principal. Our proprietary
investment model employs sophisti-cated quantitative analysis to identify
directional market shifts.
When our dynamic model identifies an uptrend in the market, we move 100% of our
clients' assets into fixed-income mutual funds. Conversely, when our model
identifies a market downtrend, we move 100% of our clients' assets into money
market funds to earn interest, protect capital, and avoid losses.
Wynne Capital Management has been successfully utilizing Tactical Asset
Allocation to preserve capital, reduce investment volatility, and enhance
returns while reducing risk.