Index Calculation of the MacroIndex® Family is provided by Gardner Finance
Gardner Finance has a strong history of providing its clients with innovative financial solution platforms that cover a wide range of financial industry products in the commodity trading, public/private equity and public/private debt markets. Gardner Finance focuses on and is a recognized specialist in the natural resources investment sector where it employs its extensive knowledge of commodity investment products in the Energy, Agriculture, Metals & Minerals sub-sectors. Gardner's objective is to enable a comprehensive exposure to the commodity sector with its MacroIndex® family of Indexes whilst simultaneously smoothing out the inherent volatility and cyclical nature of these markets.
The MacroIndex® multi-strategy Platform Diversification within Asset Classes
| DERIVATIVES | EQUITIES | DEBT |
|
long/short flexibility high volatility |
strategic focus medium volatility |
stable returns low volatility |
volatility profiles taken from: GEMI®
The MacroIndex® Platform is based on a proprietary selection matrix in each asset class and individual market sector. The MacroIndex® Platform minimizes the weaknesses and amplifies the strengths of the individual asset classes and sectors.
To learn more about Gardner Finance and products, visit the webiste at;

