How will the U.S. election outcome affect global markets? What does the recent COVID-19 vaccine news mean for international investing? Andrew Manton, Portfolio Manager at Shelton Capital Management, examines what’s next for the global economy in his quick take below.
The pandemic era has revealed many things, not the least of which are the roles of innovation in addressing the largest threats to humanity, the environment, and to the global economy. In response, markets have begun rewarding companies at the intersection of innovation, large-scale problem solving, and economic competitiveness. Below is a Q320 update from Garvin Jabusch, Portfolio Manager of the Shelton Green Alpha Fund.
Denver, October 14, 2020 – Shelton Capital Management, a multi-strategy asset manager, today announced that assets under management (AUM) in its Shelton International Select Equity Fund (SISEX/SISLX) have exceeded $100 million, which when added to the AUM in separately managed accounts (SMAs), the total approaches $150 million.
Check out the recent Reuters article featuring the Shelton Green Alpha Fund!
Andrew Manton, a Portfolio Manager for International strategies was featured in Advisorperspectives.com highlighting 4 myths about investing outside U.S. Markets
For much of the past decade, U.S. stocks have been on a tear, outpacing foreign investments in most major markets. But with U.S. shares reaching lofty valuations and fundamentals firming up in many other countries, financial advisors would be wise to consider adding an international allocation or increasing a client’s non-U.S. holdings.
Denver, August 26, 2020 – Shelton Capital Management, a multi-strategy investment manager, today announced that assets under management (AUM) in its suite of mutual funds and separately managed accounts have exceeded $3 billion.
The future unemployment impacts of COVID-19: how high, how long? Guy Benstead, Portfolio Manager at Shelton Capital Management, discusses U.S. unemployment levels and the surge in green bonds especially in the corporate market in the short video below.
Manufacturing PMI’s in the U.S., Europe, and China all reached expansionary levels in June after deep contractions in the prior three months.
Inflows into credit funds have seen a tremendous increase over the past few months. Are your clients allocated accordingly to take advantage of current dislocations in the market? Guy Benstead, Portfolio Manager at Shelton Capital Management, discusses current conditions, dealer inventory and how issuers are taking advantage of lower volatility in the short video below:
Shelton Capital Management, a multi-strategy investment manager, announced the launch of its new fund, the Shelton Emerging Markets Fund (Ticker Symbols: EMSQX, EMSLX), effective June 29, 2020. The Shelton Emerging Markets Fund is the successor fund to the ICON Emerging Markets Fund.