Portfolio Management Services

Mast portfolio management conducts active index management in order to capture prevailing market expected returns while managing risks at lower cost than financial managers and products. At all times, clients know that they are achieving better returns than most financial products because

  1. their investments are well diversified independent indexes and
  2. their proportion of index investments is adapted by Mast research to prevailing market conditions and related to investor circumstances.



Clients are also informed at all times of status of prevailing market conditions as they relate to their current index investments, changing markets and responsive/adaptive changes to index portfolios. This is an investment process, not a financial product.