Absolute Income Strategy
Absolute Income is designed for investors seeking higher yields with lower volatility. Our strategy uses assets with low correlation to achieve high income for clients while controlling risk through diversification. The utilization of truly low or non-correlated assets such as Reinsurance, Private Real Estate, Alternative Lending, Timberland, Infrastructure, and Variance Risk Premium Harvesting strategies to achieve yield and increase diversification has profound effect on portfolio risk reduction. The Absolute Income Strategy has a current estimated yield of approximately 6%.