The Intelligo goal
is to provide stable and superior risk adjusted returns over the medium to long term
through a full range of market environments. The company focuses on limiting downside
correlation with traditional asset classes while maintaining higher risk adjusted returns
on the upside. Through the controlled use of derivatives and leverage, Intelligo seeks to
optimize market returns and enhance them to a greater degree than is possible with more
traditional investment vehicles.
Intelligo subscribes to the philosophy that markets generally fall faster than they
rise and uses the resulting volatility to implement trades that positively affect its
portfolios in volatile times. This strategy lends the company the ability to profit from
markets in which more traditional asset classes can be hurt. Rigorous market analysis is
the cornerstone of Intelligo's success in trading the world's most liquid and transparent
markets. It is linked to all major markets through a variety of communication devices.