Company Performance Metrics
Market Guard provides systematic, rules-based investment strategies and model portfolios for investors and financial advisors. The firm generates investment signals and portfolio allocation recommendations using a proprietary, quantitative methodology that applies a non-emotional, methodical, mathematical approach. Market Guard offers ETF, stock,
emerging technology, blockchain, and structured note model portfolios constructed with defined equity and fixed income targets. Its dynamic, static, and target asset allocation models adjust or maintain portfolio weights based on market conditions, risk tolerance, and long-term allocation assumptions. The company supports advisors by supplying models that can be customized to investor objectives, risk criteria, transaction considerations, and tax sensitivity. Market Guard focuses on providing a broad family of portfolios that can be used to implement and manage diversified investment strategies.