Crosspoint Capital Management is a leading asset manager that puts emphasis on capturing alpha during strong markets while preserving capital when market risk is elevated. Through our market sentiment indicator, we have been able to navigate through even the worst markets including the most recent financial crisis in 2008 while still capturing gains during market expansions. Our team has been using this philosophy for managing money since 2005 and we believe that there is opportunity to prosper even in the most difficult market conditions. Unlike many passive asset managers that will leave a clients portfolio exposed during difficult markets, we take action to keep our clients portfolios pointed in the right direction.