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Michael Turner

President, Turner Capital Investments

Mike Turner is the Founder and President of Turner Capital Investments, LLC, a 3-generation asset management RIA (Registered Investment Advisory).  His formal education is Engineering, Computer Science and Finance.  He is a 20+ year veteran in the development of strong portfolio management strategies.

With Mike’s leadership, Turner Capital focuses exclusively on growing and protecting client capital through the application of a sophisticated, proprietary, rules-based market analysis methodologies that take advantage of both bull and bear market trends.  Mike is the system architect and the originator of the algorithms and design methodology of our highly successful portfolio management for both individual and institutional clients.

Mike’s financial, math, computer science and engineering background serve as the foundation for his rules-based approach to trading. Turner Capital clients benefit from the fact that we do not rely on instinct, gut-feelings, emotions, analyst opinions or hunches.  Mike’s approach capitalizes on major market trends of the S&P 500 and the Nasdaq 100.  Capital is put to work when the market is in a well-defined trend (bull or bear).  Mike has developed a dual-direction methodology that generates incredibly positive results in both bull and bear markets.  This dual-direction approach is unique to Turner Capital and has proven to be nimble and directionally well balanced to take advantage of all market trends.  Mike’s rules for investing are unique in an industry full of traditional investment strategies that rely more on hope than on real, positive results.

The rules-based, technical analytics used by the trading system developed by Mike Turner ignores forecasts and guesses about future markets.  Under his mathematical insight, 100% of the trade-timing decisions are predicated on where the market is; how it got there; and the fact that the current trend in the market will last exactly until it doesn’t… and thus eliminating the need to plan for or hope for or guess about the future.  He supports the theory that the stock market is truly a random-walk that no one can consistently forecast reliably.  The beauty of Mike’s approach is it matters not what the market will do in the future if you are properly in or out of the market where it currently is; and his methodology assesses explicitly where the market is, at all times.  

Mike is the author of the very popular books, “10-The Essential Rules for Beating the Market” and "Rule 1 of Investing" and co-authors the company’s weekly newsletter.  Mike is a frequent guest speaker and lecturer to large financial groups nationwide.

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