Snyder Financials’ approach is to seek above average risk-adjusted returns over a full market cycle (4 – 5 years) compared to the tradition 60% equities/40% bond asset allocations. We implement investment opportunities with several active and non-correlated tactical managers within our two risk buckets. For those investors who are unwilling to take unnecessary downside risk, our goal is to provide a satisfying return over a full market cycle compared to the appropriate index.
Past performance is no guarantee of future results. Investing is risky. Investors can and do lose money.