Highstreet Asset Management Inc.
Income Options with the Highstreet Dividend Income Fund

How We Manage Money

We believe that combining robust quantitative research focused on corporate fundamentals with sound reasoning, fundamental analysis and an awareness of current market regimes can propel our returns to exceed those of the markets. Our view is always global and, where appropriate, we can project our analysis across sectors, countries and regions.

Our research is empirically based but the numbers do not exclusively define our approach. The quantitative informs our approach and informs our world view. Our experience, inquisitive nature and fundamental analysis rounds out our approach to constructing portfolios.

Everything we do is based on the belief that market dynamics change, but company fundamentals are the primary factor influencing share price performance. The importance of factors over time will change with regimes but we believe that using broad categories such as Asset Growth, Earnings Quality, Valuation, and Market Reaction as our high level super factors, will consistently add value over time.