Weighing Protection and Returns
The conversation has changed. The market events of the past 12 to 18 months have moved risk management to the front of the investor discovery process. The prospective viability of a fund and its managers is being measured on the ability to employ robust downside protection when market risks increase meaningfully while still harboring the ability to generate solid returns.
Transparency Begets Investor Comfort
Investors find additional comfort in knowing where their money is. We don’t like the opaque hedge fund model. We favor operating our business in a transparent manner. It promotes fairness, enables accountability, and perpetuates a long view over the investment timeline.
IronHorse President, Kerr Tigrett thinks,
“Our clients have the ability to see exactly what they are invested in and know the value of it up to the minute because of our relationship with Schwab.”
Business
We’re not working on an assembly line. However, we are process driven. We’re building a business wherein the work we do is easily explained – revolving around a product careful to balance return opportunity and risk management toward the client’s objective – and repeatable.





