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Philosophy

  • Our macroeconomic outlook enables us to benefit from both short and long term interest rates and yield curve changes.

 

  • We do not take high levels of risk in order to generate attractive returns.  We actively manage sector exposure and broadly diversify portfolios to minimize volatility while maximizing risk-adjusted returns.

 

  • In-depth fundamental analysis allows us to identify securities to generate income and stable returns.

 

 

 

 

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The opinions expressed herein reflect the opinions of Atlantic Asset Management, LLC and are subject to change without notice.  

Past performance is no guarantee for future results.

This site has been designed for informational purposes only.

Atlantic Asset Management, LLC

Clearwater House

2187 Atlantic Street

Stamford, CT

203-351-2800

Copyright 2013 Atlantic Asset Management

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