What’s Your Risk Number?
The Gardner Group uses the Risk Number to better serve our clients and empower fearless investing
The Gardner Group implements various new technology to better quantify risk in your portfolios. We want to easily articulate the potential downside risk of 6 months of bad news to your portfolio.
This new risk alignment platform mathematically pinpoints how much risk investors want, how much risk you currently have in your portfolio, and how much risk you need to take to reach your goals.
Our goal is to better quantify the semantics of the financial advice industry, replacing confusing and subjective terms like “moderately conservative” and “moderately aggressive” with the Risk Number®, a number between 1 and 99 that pinpoints your exact comfort zone for downside risk and potential upside gain with a 95% Probability Range.
Successful long-term financial outcomes are built by our clients making one good short term decision at a time, and that only happens when we better equip you to do so. The Gardner Group believes these types of analytics can help with your comprehensive wealth management.