Financial Services - , ,
FOXHALL CAPITAL is a global manager with an investment management discipline based on an active investment strategy. The primary objectives are building wealth, based on stock market returns while controlling portfolio risk including the implementation of a decisive shift in the investment profile designed to defend client wealth through the avoidance of sustained investment losses in the case of sustained market downturn. Our active and global investment management philosophy distinguishes us from most other asset managers! The money management process is based on quantitative disciplines that serve to identify broad global economic trends plus the top performing securities in various market segments throughout the global economy. This methodology allows Foxhall clients to participate in advancing markets that are demonstrating persistent positive trends. Foxhall does not attempt to predict the markets but responds to already established market trends. The commitment to move into 100% defensive positions like U.S. Government Treasury Bonds sets Foxhall apart and is a cornerstone of our objective to defend our client's wealth when the capital markets threaten to erode their value.
Outlook