We recently introduced a new addition to our Individual Investor Service: a monthly hour-long webinar that includes:

  • an explanation of Asbury Research’s data-driven models and instruction on how to integrate them into your portfolio,
  • a review of all 6 Asbury Research model signals, and
  • an overview of current market conditions, including live charts and market indicators, with
  • a live Q&A at the end.

Because you have previously requested information about our services, we thought our October 28th Teach-In Webinar would be of interest to you.  This video will provide you with a very comprehensive explanation of our unique approach to markets and what we provide for our customers.  You can view it by clicking the video below.

Our next Live Teach-In Webinar will be presented to Asbury Research Subscribers on Saturday, December 2nd at 9:30 AM CT.  The webinar will be recorded for those who cannot attend the live event.  

(Our service for professional investors includes a personalized one-on-one version of this webinar geared toward Portfolio Managers and their staff.) 

Request more information about our services and pricing by Clicking Here.

Disclosure/Disclaimer: The information on this website is provided solely for informational purposes and is not intended to be an offer to sell securities or a solicitation of an offer to buy securities.  The strategies employed in managing this and other model portfolios may involve algorithmic techniques such as trend analysis, relative strength, moving averages, various momentum, and related strategies.  There is no assurance that these strategies and techniques will yield positive outcomes or prevent losses.  Past performance, as indicated from historical back-testing, is hypothetical in nature, does not involve actual client portfolios, does not consider cash flows and market events, and is not predictive of future performance.  The model is managed by contemporaneously recording hypothetical trades.  Such trades are not live trades and are not influenced by emotional or subjective reactions to extraneous market, economic, political, and related factors.  The performance for such model(s) is derived from utilizing various technical trading strategies and techniques.  Technical trading models are mathematically driven based on historical data and trends of domestic and foreign market trading activity, including various industry and sector trading statistics within such markets.  Technical trading models utilize mathematical algorithms to attempt to identify when markets are likely to increase or decrease and identify appropriate entry and exit points.  The primary risk of technical trading models is that historical trends and past performance cannot predict future trends, and there is no assurance that the mathematical algorithms employed are designed properly, new data is accurately incorporated, or the software can accurately predict future market, industry, and sector performance.  Asbury Research LLC does not and cannot provide any assurance that an investment in the model portfolios will yield profitable outcomes. The risk of loss trading in financial assets can be substantial, and different types of investment vehicles, including ETFs, involve varying degrees of risk.  Therefore, you should carefully consider whether such trading is suitable for you in light of your financial condition.  An investor’s personal goals, risk tolerance, income needs, portfolio size, asset allocation and securities preferences, income tax, and estate planning strategy should be reviewed and taken into consideration before committing to a specific investment program.  Please consult with your financial advisor to discuss the appropriateness of any strategy prior to investing.  All investments involve risk.  Principal is subject to loss, and actual returns may be negative.  Returns are not guaranteed in any way and may vary widely from year to year. 

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