The Sector 770 was launched in 2002 to provide an economical way for investors to utilize our proprietary trading system.
The model involves an average to Market level of risk and is recommended for the portion of a portfolio designated for growth.
The proprietary model allocation strategy utilizes our proprietary analysis/rankings to select the top sector investments and rotates sectors based on momentum and relative strength indicators. It is designed to capitalize on short-term opportunities present in the various sectors of the market.
Utilizing this system has allowed us to achieve the outstanding performance summarized below.