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As a registered user, you have gained access to the BCM Portal containing information about the BCM Strategies. For additional inquiries, please contact us at investors@investBCM.com or (888) 777-0535.BCM Commentary, Research and White Papers
BCM produces quarterly market updates, strategy commentary and periodic research. If you have any specific topics you would like us to research and report on, we would like to hear from you! Click here to submit a topic or provide feedback.
Commentary
White Papers and Research
Our Take on Volatility – When You Are More Likely To Realize Good Investment Outcomes
Buying the Dips – When Does this Approach Run the Most Risk
The Probability of Another 20+ Drawdown is Higher Than You Might Expect
Trend Following: An Alternative to Buy and Hold
Tactical to Practical: Understanding the Importance of Types of Market Declines
How to Build a UMA for Smaller Accounts
Collective Investment Trusts and their Benefits: Why the 90 Year Old Vehicle is Worth a Second Look
10 Reasons to Change Your Practice and Grow Your Revenue
Case Study: Sector Rotation – Taking the Emotions Out of Investing – by SSGA
2017-2018 Financial Literacy Collection
View the Entire 2017 – 2018 Financial Literacy Collection
2018 Glossary of Financial Terms
The Good, The Bad, and The Ugly: What No One Tells You About Debt
Investment Acronyms: Say What?! CNBC Slang Finally Decoded
Lease vs. Buying: What Every Car Dealer Doesn’t Want You To Know
Why Own an Umbrella When It’s Sunny Every Day: The Importance of Defense in a Portfolio
BCM Sector Rotation Strategies
Each of BCM’s Sector series includes 4 portfolios: U.S. Sector Rotation, Diversified Equity, Growth and Moderate Growth. Each portfolio uses BCM’s sector rotation process as its core equity allocation, and adds exposure to International Equity, Global Macro Equity and High Quality Fixed Income in varying allocations.
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BCM Decathlon Tactics
The BCM Decathlon Tactics portfolios are global, tactical, asset allocation strategies. They invest using a defined pool of ETFs representing virtually all accessible asset classes. These are growth strategies that seek to reduce portfolio volatility and maximum drawdown, while allowing the investor to select their desired level of risk.
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