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Comprehensive investment experience and services.

At Chlebina Capital, we cater to high net worth individuals by offering the strategies listed below: 

The "Integrated Tiger Strategy"  
 
The Integrated Tiger Strategy is the combination of one of the more aggressive Tiger or Bengal Strategies with one of the less aggressive Fusion, Balanced, and/or Foundation Strategies. It is designed to allocate funds to be more or less aggressive based on Chlebina Capital Managements proprietary indicators.
      


The "Tiger Strategy"

An Aggressive Industry Based Value Investment Process

The "Tiger Strategy" is our proprietary method of investing in equities. It starts with the number one cause of price movement in stocks - industry trends*. The Strategy seeks out value opportunities in industries that are at extreme cyclical or economic lows. These industries are evaluated for obsolescence (are they needed in the future?). If the industry is not obsolete, then by definition, the industry cannot fail and stronger companies within it should recover.

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The "Bengal Strategy" 

An Aggressive Strategy

The Bengal Strategy is one of our proprietary methods of investing, which has an aggressive risk/reward tolerance. This strategy focuses on investing primarily in equities, while seeking to offset some risk by investing in fixed income securities during certain periods based on Chlebina Capital Managements proprietary indicators.

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The "Fusion Strategy"

A Growth Strategy
    
The Fusion Strategy is the combination of the aggressive “Bengal Strategy” and the growth & income “Balanced Strategy.” It is designed to allocate funds to be more or less aggressive based on Chlebina Capital Managements proprietary indicators. This strategy is one of our methods of investing, which has an adaptable risk/reward tolerance that becomes slightly more aggressive or more conservative based on how the indicators suggest to position.

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The "Balanced Strategy"

A Growth & Income Strategy

The Balanced Strategy is one of our proprietary methods of investing, which has a median risk/reward tolerance. This strategy focuses on investing in both equity and fixed income securities in proportions that adjust depending on our proprietary indicators.


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The "Foundation Strategy"
                    
A Fixed Income Strategy

The Foundation Strategy is one of our proprietary methods of investing, which has a low risk/reward tolerance. This strategy focuses on investing in both equity and fixed income securities in proportions that adjust depending on our proprietary indicators.


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The "Bounce Strategy"


The Bounce Strategy is not a stand-alone strategy, it runs inside of the Tiger or Bengal Strategies. This strategy attempt to leverage the returns of the underlying strategy by investing in undervalued/oversold equities near the end of the year that our proprietary indicators suggest have the potential to rebound over the next couple months.


There is no certainty that any investment strategy will be profitable or successful
in achieving your financial objectives.