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Quantum Financial Partners has become a leader in overseeing, balancing and managing diverse alternative strategies and investment opportunities.

Quantum Financial Partners is an expert in non-correlation and risk management. When properly blended, alternative strategies effectively generate positive returns, reduce risk and protect investor's capital in the roughest of market environments.

The term “Alternatives” gets thrown around a lot in today’s investment world. What exactly does that mean? Generally, alternatives are investments that should be non-correlated to the stock market or investments that have the ability to generate positive returns in all market environments. Upon closer examination, however; we have found many investments which claim to be “alternative” have a strong correlation to the broad markets and mimic market returns with a similar amount of volatility. We have also found most alternative strategies are watered down for various reasons ranging from the strategies assets under management to daily liquidity issues. Our specialization is filtering down and matching up proven alternative strategies with other types of alternative strategies to effectively offset market volatility and most importantly protect investors capital from painful draw downs. To us, that means non-correlation to the market, non-correlation to each strategy, liquidity, volatility control and a strong track record of outperforming the overall market in down market environments.

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