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Alpha Lock Portfolios

Learn more about our Alpha Lock Portfolio that OUTPERFORMED the S&P by more than 320%.

To successfully navigate markets today, we need to have the flexibility to change with it.

Markowski Investments manages volatility and risk in a way that few strategies do.

We strive for consistent positive performance and lower levels of volatility, which can offer numerous potential benefits: 

Reducing overall portfolio volatility
Limiting losses in down markets
Diversifying the sources of investment returns
Improving a portfolio’s overall risk-adjusted return

Our approach actively manages growth objectives AND risk.

Our process combines two different tactical approaches (momentum and risk parity) into one algorithm. Our model portfolios respond to markets with the objective of simultaneously maximizing long-term growth potential while minimizing risk.

Learn more about our Alpha Lock Portfolio that outperformed the S&P by more than 320%.

Complete the form to learn about our Alpha Lock portfolios.

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