BluePath Capital Management is an investment advisory firm focused on alternative investment management strategies not offered by traditional banking and investment firms. We use unique tactics to measure risk and protect portfolios from market volatility. Our strategies attempt to find non-correlated returns in both up and down markets while using market momentum to profit in low volatility environments. We like to think of ourselves as "new school" in investment thought but maintain "old school" fundamentals of charting and analytics. Understanding risk and how it affects portfolios is our mission.
Markets can be unpredictable, making it difficult to consistently time the markets or pick outperforming stocks. Reducing downside risk can significantly impact wealth creation. Our goal is to seek consistent returns while protecting portfolios from large market declines.