Use Cabana’s model to shelter your investors from risk.
Cabana’s portfolios provide comprehensive investing solutions for registered advisors and money managers seeking a robust and tested strategy. We provide a powerful model for limiting drawdown based upon risk tolerance of the individual investor. Our portfolios vary between 7 percent and 20 percent in expected maximum drawdown, thus a wide range of investors may find our strategy attractive. All five of our portfolios may be offered through institutional platforms as a core equity selection.
Returns reflect clearly defined objectives and expectations based on the following: