At Clear Perspective, we believe that the asset allocation decision is the most important aspect of portfolio construction.
We focus on disciplined diversification that supports your organization’s investment objectives. We believe that inexperienced investors oscillate between greed and fear, creating potential opportunities for experienced investors. We balance the patience of long term investing with pragmatism by dynamically adjusting portfolios in an effort to manage risk and take advantage of potential intermediate term themes presented by market volatility.
Our decisions are grounded in objective research and analysis. Our open- architecture investing gives us the flexibility we need to evaluate the full range of options.
We start with a clean sheet of paper and maintain portfolio strengths while introducing ways to complement existing portfolio exposures. We strive to achieve the appropriate balance between long term strategic discipline and short term, tactical shifts to navigate volatile markets and seek optimal returns.