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 We are Investment Managers

Our ground breaking research and portfolio management has produced market shattering results for 60 years tested.

The "GeaSphere Analysis System" is a simple yet powerful portfolio construction system that allows us to deliver on our mission to help you accumulate and enjoy your wealth! 

Our Investment Advisors can help you easily transfer your investment accounts so you can 
 Invest With GeaSphere Advisors...

 

GeaSphere Portfolio Construction Philosophy
Our firm builds investment portfolios using our proprietary research philosophy we call the "GeaSphere Analysis System". The system is concentrated in three parts.

The first two parts are based in the research of a companies free cash flow (current and historical) and the third part is based on a companies historical price action as a gauge of investor sentiment.
 
The main goal of our system is to buy securities that are priced at a discount to the historical relationship of the companies Price to Free Cash Flow (PFCF).

Our system allows us to determine the current buy price and the future sell price based on the same (PFCF) relationship.

All of our model portfolios use our exclusive methods and historical data base as the basis for our portfolio construction and management.


T
he three methods used in our analysis are: 

Price to Owners Earnings (OE) = Current and Future Analysis. 

Cumulative Owners Earning (COE) = Historical Analysis of Owners Earnings. 

Statistical Indicator Analysis (SIA) = Historical Price Action. 

 

 
GeaSphere (PFCF) Total Return Portfolio
The GeaSphere (PFCF) Total Return Portfolio has income as its primary objective, while also investing for principal growth.

The Fund is often invested in a market neutral style.
 
The portfolio buys high quality dividend paying stocks and other securities that have a high dividend objective.
 
Our Portfolio is often less volatile then the general market. We accomplish less volatility through the use of various hedging instruments to protect against sharp down swings in markets.

We use advance asset allocation modeling techniques to produce well diversified portfolios.

The portfolio is the ideal alternative for the long term investor who is seeking high income as the primary objective and growth as the secondary goal, with a clearly defined stock selection process.
 

The "GeaSphere Analysis System" is used to manage this portfolio.

This passively managed Spoke Fund is tax efficient and open to new investors. 

We offer this portfolio to our Individual clients, Pension funds, Registered Investment Advisors and Institutional Clients.

We offer a free evaluation to determine the appropriate income strategy for your retirement.

(See our Research Brochure)
 
Call us to schedule a demonstration.  (877)-351-4902 
GeaSphere (PFCF) Core Portfolio
The GeaSphere (PFCF) Core Fund buys the top 5 stocks in each of the 12 sectors of the US
economy that offer the best Price to Free Cash Flow opportunity in each sector.
 
 
This is a passively managed equal weighted spoke fund.
 
The portfolio is tax efficient and a excellent alternative for the long term index investor.

The Fund offers core holdings for the long term deep value investor.

The fund will include foreign stocks trading in US markets that offer the best (PFCF) relationship in each of the 12 economic sectors.  
 
The "GeaSphere Analysis System" is used to manage this portfolio.
 
 
We offer this portfolio to our Individual clients, Pension Funds, Registered Investment Advisors and Institutional Clients.
 

Call us for a private no obligation seminar. 

 
877-351-4902
 
GeaSphere Government Bond Portfolio

The Government Bond Folio consists of ETFs that primarily invest in U.S. Treasury securities and is designed to provide income exempt from state and local taxes.

U.S. Government bonds are backed by the full faith and credit of the U.S. government, significantly reducing default risk but also lowering expected returns.

Objective

The Government Bond Portfolio was developed for investors seeking tax benefits, capital preservation and income with low bond risk.
  • We constructed our Portfolio through selecting ETFs that were defined as government bond ETFs by Morningstar. These ETFs invest mainly in bonds issued by the United States government and private corporations that operate under U.S. government charters such as Fannie Mae and Freddie Mac.
  • We then selected ETFs with low expense ratios that met certain volume, asset level and other requirements.
  • We equally weighted each government bond ETF in the Portfolio.
  •  

    Update Frequency

    The Folio is reviewed every quarter. If the characteristics of the Folio have changed substantially, the securities included may change. Also, corporate actions, such as a merger, or other events may prompt us to change the securities at any time.

    Call us for a no obligation consultation. 877-351-4902

     
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