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The information on this site is provided “AS IS” and without warranties or guarantees of any kind either express or implied. In no event shall OppoQuest, LLC have any liability to you for damages, losses, and causes of action for accessing this site. Information on this website should not be considered a solicitation to buy, an offer to sell, or a recommendation of any security in any jurisdiction where such offer, solicitation, or recommendation would be unlawful or unauthorized.

Past performance is no guarantee of future performance. Investing involves risk and may lose value. Different types of investments involve varying degrees of risk, and there can be no assurance that the future performance of any specific investment, investment strategy, or product made reference to directly or indirectly in this presentation, will be profitable, equal any corresponding indicated historical performance level(s), or be suitable for your portfolio. Moreover, you should not assume that any discussion or information provided here serves as the receipt of, or as a substitute fo r, personalized investment advice from OppoQuest or any other investment professional. Further, the charts and graphs contained herein should not serve as the sole determining factor for making investment decisions.


The historical performance results of the comparative indexes do not reflect the deduction of transaction and custodial charges, nor the deduction of an Investment management fee, the incurrence of which would have the effect of decreasing indicated historical performance results . Historical index performance results are provided exclusively for comparison purposes only, so as to assist an individual client or prospective client in determining whether a specific Portfolio meets, or continues to meet, his/her investment objective(s). It should not be assumed that account hold in gs will correspond directly to any of the comparative indexes.


The S&P 500 Index is an unmanaged index and includes a representative sample of large cap U.S. companies in leading industries. Unmanaged indices may not be invested in directly. Standard Deviation (STD%) is a measure of volatility. The greater the STD% the more volatile the portfolio or index has been during the given time period. 

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