Free Market & Modern Portfolio Theory
Your FREE MARKET portfolio has 21-plus different levels of academically managed asset-class mutual funds holding approximately 24,231 unique global stocks and bonds.
The Free Market philosophy uses the lifetime “buy and hold” Nobel Prize-winning Modern Portfolio Theory investment strategy, which gives your portfolio global diversification, diversification is where you get your returns and manage volatility or risk. Your portfolio owns most of the global market, stocks, and bonds from 79 countries; therefore, your accounts that stay consistently fully invested receive an annual return similar to the total market. The money manager, Matson Money, maintains each mutual fund, and correlates and rebalances your accounts, buying low and selling high. The Free Market works! Remember, the efficient market is random, and no one can predict or guarantee returns.
Go to Free Market Classes Videos for additional information.