Sector Alpha
Back to StrategiesInvestment Objective
Outperform the S&P 500 index by investing in the top 5 economically advantageous U.S. sectors. By utilizing fundamental data, the Sector Alpha portfolio’s goal is to create a more efficient S&P 500.
Portfolio Philosophy
We believe a fundamental perspective paired with quantitative execution will result in long-term outperformance. Rather than deploying cash as a downside hedge, the Sector Alpha portfolio remains 100% invested in the most more favorable U.S. sectors in light of the economic climate.
- Active ETF Selection – Invest in the top 5 U.S. Sectors given the current market environment.
- Risk Management – By removing undesirable sectors, the portfolio provides alpha while mitigating domestic equity volatility in the process.
- Consistency – Aim to provide investors long term growth with the knowledge that their portfolio attempts to invest exclusively in U.S. sectors that are structurally
the strongest.
Product Profile
Lead Portfolio Manager
Scott Martin, CIMA®
Chief Investment Officer and Lead Portfolio Manager
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Performanceas of 3/31/2025
14.27%Standard Deviation
-0.03%QTD
-0.03%YTD
5.34%1-YR
15.92%5-YR
11.88%Since Inception
The performance data shown is through the date listed above and represents past performance for the composite. The composite includes all discretionary accounts managed in accordance with the strategy. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance data quoted above. There is no guarantee that any investment strategy will achieve its objectives. “Net of Max Fee” represents performance that has factored in an assumed fee of 2.10% (0.60% model fee plus 1.50% advisor fee).
Allocationsas of 3/31/2025

