
CIGX, LLC, capital management, offers the global strategies model portfolio series. These model portfolios range from conservative to aggressive and use a macro-economic, a.k.a top-down, fundamental analysis approach to asset management. Emphasis is placed on diversification, and special research is performed on global growth, corporate governance, and political and social economics. These models have an initial asset allocation and geographical allocation, which are then reviewed quarterly and analyzed based on the above noted factors.
Click on the following to see a preview of our model portfolios as of September 30, 2009:
Conservative
Moderate
Growth
Aggressive
