WHY THE NAME OBSIDIAN INVESTMENT MANAGEMENT?
Just as obsidian is created from Fire and Water, when we create a portfolio for a client we use non-correlated asset classes to lessen risk and increase potential return. The portfolio we build for our clients is sharp and precise, individually tailored to their risk tolerance and time horizon. We do not believe that one size fits all when it comes to asset allocation. We are tax efficient. We use Exchange Traded Funds and Index Mutual funds to cover asset classes and sectors of the markets. This reduces the possibility of unwanted capital gains distributions. We are inexpensive. By using ETFs and index funds we avoid the high fees built in to many mutual funds that reduce your overall return. Like the rock from which we take our name we are useful. We remove the burden of investment decisions from your shoulders. We create, monitor, and rebalance a portfolio of investments based upon your financial needs and goals. If you are looking for comprehensive, institutional quality, investmen