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SERVICES

GLOBAL TACTICAL ASSET ALLOCATION

Asset allocation is an investment strategy that seeks to balance risk versus reward by adjusting the percentage of each asset class in an investment portfolio according to investor’s risk tolerance, goals and investment time frame.

 

SeaCrest Investment Management’s Global Fixed Income Strategy seeks to maximize return by investing in the Global Fixed Income obligations of developed and emerging market issuers.

GLOBAL FIXED INCOME

 

GLOBAL CLEAN ENERGY

The SeaCrest Global Clean Energy Composite tracks the SeaCrest Global Clean Energy Index, a market capitalization-weighted equity index designed to serve as a benchmark for global stocks traded on major US stock exchanges. This portfolio tracks the following clean energy sectors: Clean & Renewable Energy, Energy Efficiency, Infrastructure, Materials, Power Management and Water Management.

 

The portfolio seeks to maximize return by investing in the sovereign, quasi-sovereign and supranational debt instruments of developed (ex-US) and emerging nations.

INTERNATIONAL SOVEREIGN DEBT

 

HYBRID INCOME MATRIX

SeaCrest Investment Management’s Diversified Income Portfolio seeks to deliver a high level of income consistent with attractive risk-adjusted returns.

 

The portfolio seeks returns that generally correspond to the performance of the U.S. Intermediate-term bond market as defined by the Barclays Capital U.S Government Intermediate Index.

INTERMEDIATE GOVERNMENT DEBT