Crossing Point is a discretionary investment manager bringing together the best of academic analysis and investment expertise to create enhanced investment returns at lower risk.Crossing Point Brochure
We offer a range of risk adjusted, dynamic volatility managed portfolios to create enhanced returns over differing market conditions capturing the upside and protecting capital on the downside.
Crossing Point Investment Management was conceived in 2014 and formed in 2018 based on the conclusion of extensive academic research into an investment philosophy established upon market price momentum and tactical trading.
Our investment strategies are stringently based upon exhaustive, robust research and testing. Verified and substantiated by accredited MSc and PhD research papers.
Crossing Point is changing the direction and expectations of investment management by not only offering the benefits of global stock market growth, but managing downside by switching into gilts or cash when markets move into reverse.
Our active management process uses a sophisticated, adaptive algorithm responding to evolving stock market conditions.
All geographic equity and corporate bond sectors are monitored individually. We may exit one market and retain another depending on what positive or negative signals that particular market sectors has communicated.
If we have sold out of a specific equity exposure our continuous monitoring system will signal when to reinstate the particular position as conditions become more favourable.
The greatest steps forward in business have often been initiated by thinking that has disrupted prescribed or accepted process. The advent of the industrial revolution was the key disruptor heralding the rapid progress that continues to define the modern age. The most successful corporate disruptors challenge on cost, delivery, convenience and performance. Some of the very best examples revolutionising our behaviours and perception may include the likes of Amazon, Apple, Uber and Airbnb. Products such as smart phones are triggering constant changes in our habits.
Tracker funds are a market distruptor in their own right. In the world on investment, global tracker funds have grown at an exponential rate in recent years. Thus allowing retail investors effective and cheap access to markest that were the preserve of institutional investors. However, their general use has been quite unsophisticated. Crossing Point has taken all the advantages of trackers and reinvented their use.
Crossing Point portfolios are based on accredited asset allocation models and use only tracker funds to gain full global asset class exposure. Our dynamic, technical rules based analysis, actively informs us when to hold equiities and when to revert to cash and gilts. This methodology has been tested over a long period, demonstrating remarkable reliability and consistency, capturing upside and managing downside. The passive becomes active.
This process significantly reduces volatility and enhances capital return. Essentially, investors can put the old stock market maxim 'sell high buy low' as part of their core strategy. Crossing Point is a positive disrupter in the world of investment management. Our unique algorithm represents the best in modern investment philosophy, delivering on cost, accessibility and performance.
Crossing Point is a discretionary investment manager bringing together the best of academic analysis and investment expertise to create enhanced investment returns at lower risk.Print Friendly Brochure
Our default position is equity investment to gain capital growth but tactically trade out and into gilts or cash when our algorithm signals a market decline. We enhance investor’s returns by minimising market downsides. When markets signal a recovery we return to equities to capture the upside.
Our Multi-Index Portfolios
We offer a comprehensive range of risk controlled multi-index investment strategies.