ECM believes in a proactive style of investment management as opposed to a pie graph, “buy-and-hold” approach. We understand the current environment, and invest client’s portfolios accordingly while maintaining their proper risk level. In addition, ECM is a firm believer in increasing portfolio cash flow to help with total return and for reduction in volatility. Lastly, ECM utilizes very specific exit strategies to minimize risk.
Protection and profitability are the top priorities for portfolios managed by ECM. Insuring we have a cohesive strategy to withstand the multitude of challenges we face as investors is of utmost importance to our firm.