Welcome to Goldman Management Inc.
The foundations of Goldman Management is the dynamic discovery, historical testing and rigorous assessment of market data. These are the central tools employed to uncover and implement predictive factors that impact equity market behavior. At the core of the investment process, the fund utilizes more than 300 indicators and dozens of models. This data is processed within a proprietary decision matrix and overlaid with a quantitative structure to provide a multi-dimensional view of the market. Investment decisions are expressed in the form of a discretionary, tactical trading strategy which gains U.S. equity market exposure through the use of futures in the S&P 500 and other domestic stock indexes.