The Tower Algorithm is built on a powerful strategy
As soon as the scope of investment is counted in years, it is our ambition to always outperform the markets. This is precisely what our investment model is optimized for. What makes us different is greater security of investments and more asset classes. At the same time our solutions are easy to use, and we do not tie our customers to a fixed investment profile. We put an end to habitual thinking, and the purpose is clear...
WE EMPOWER INVESTORS
We know it works
The stock markets have always featured both major downturns and a lot of lesser fluctuations. Consequently, your choice of risk management is crucial to your wealth and probability of return.
Today the norm is to adapt the investor's risk profile to the investment by having a fixed distribution across stock and bonds. This should not be ignored, but adjusting the investment to match the trends in the market is of far greater importance.
As such, our strategy is that in a Bull trend, when the risk is lower, you may in principle have up to 100 percent of your investment in stock. During a Bear trend, on the other hand, proper protection of your funds require reducing, or even eliminating, your presence in stock, and place your investment in other asset classes which are stable or trending up.
Our dynamic risk management differentiates between the normal fluctuations in the market and the movements which can be identified as trends. This way we can achieve a consistently better trend alignment, be it for stock, index, currencies or commodities. This approach is combined with analyses of the strength and potential of the individual papers. Collectively this produces optimized investments, both within and across asset classes.
Our Tower Algorithm springs from a well known theory of business cycle adaptation. It provides access to the value creation in the strong publicly traded papers, including the long-term trends of growth businesses, and the rising trends of the cyclic stock. At the same time loss is averted when the markets drop during cyclic downturns. We have refined this strategy so that the Tower Algorithm now allows you to invest by it across a number of asset classes.
Since 2000 this strategy has shown a significantly better return than traditional strategies. We have performed countless tests with the algorithm, and we have published our recommendations for a long time, demonstrating our ability to consistently outperform the market. We have had an eight-figure amount under our management and shown that we can do it.
In conclusion, it is our claim that anyone who uses Tower Services acquire greater freedom and better results.
What we deliver
A reliable investment policy, combined with continual monitoring of the markets, and a proper implementation of long term wealth management.
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Click here to see the services we will be offering with this investment strategy as their base.
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Do you need further insight into our investment strategy and what it can do for you or your company? We will be happy to elaborate if you give us the opportunity.
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