• VictorWealth believes in designing systematic processes and following the rules in a disciplined manner. We utilize systematic trend-following methodologies both as a means to mitigate risk and as a dynamic asset allocation engine, which is in our opinion the best approach to consistently take advantage of opportunities and sidestep risks.

  • VictorWealth uses basic factors designed to provide persistent returns and effective risk management.

  • VictorWealth believes in harnessing the value of lower correlation between asset classes.

  • VictorWealth believes that investment strategies must be tax-efficient and be sensitive to investor behavior.