These services fortify your risk management decisions

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SafeMoneyMetrics™

SafeMoneyMetrics™ (SMM™) is a managed futures risk, investment management and research service. It evolved from principles successfully used in hedging for over 150 years. SMM™ reduces and sometimes prevents ill-fated loss and excessive capital waste caused by uninformed decisions. Link here to read about the cause of ill-fated loss. SafeMoneyMetrics is integrated into every aspect of our risk management services.

Investors receive higher quality choices because SMM™ reveals risk and other pertinent information that would otherwise remain concealed. SMM™ also uncovers early warning signs of potential strategy imbalances under current market conditions. It is a direct approach to identifying, evaluating and monitoring investment cost, trading talent and capital at risk relative to realized return and volatility under current market conditions. Nothing else matters. SMM™ always isolates the precise relationship between an investments ability to manage open trade risk and how that translates into realized profits.

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CTA - Analysis

SafeMoneyMetrics™ reveals information that would otherwise remain concealed allowing ill-fated losses caused by uninformed decisions to be reduced and sometimes eliminated. You can analyze any advisor for $45.00 any multi-advisor strategy for $65.00. Annual subscriptions offer unlimited usage for $595.00. Annual leases are  $3000. You have a private label platform and can sell unlimited subscriptions and direct usage keeping 75% of the gross revenue.

CTA - Reports - Free

Reduce ill-fated losses caused by uninformed decisions. Get a SafeMoneyMetrics™ report on any advisor in the data base. Use the SafeMoneyMetrics™ CTA Rankings to isolate advisors with good relationships between their Net and Funding Level Ratios, then get  complete analysis on each. The service is our gift to investors.  

CTA - Rankings

View the top 300 SafeMoneyMetrics rankings in the Barclay data base.

CTA- Indexes

Watch SafeMoneyMetrics Net and Funding Level Ratio movement in 12 indexes including account sizes.

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