Invest in peace of mind.


We understand the time, money and stress it takes to recover losses in major market downturns.

Embark on a partnership geared towards helping you accumulate wealth in unpredictable markets. We offer a number of investment strategies the suit varying degrees of risk profiles and objectives.

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Money Management

We strive to help you meet your financial goals through our tactically managed HCM portfolios.

Retirement Tools

Allocate your company-sponsored retirement plan with either our 401(k) Optimizer® or TSP Optimizer® tool.

Mutual Funds & ETFs

HCM offers three proprietary Mutual Funds and two ETFs designed to seek growth while striving to defend your capital.


The freedom to go beyond the basics.

Gain access to more investment options, active management and the HCM-BuyLine® for your retirement account.
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Find An Advisor in Your Area

While we do not take clients directly, we can point you to an advisor in your area.


    Start investing with confidence.

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    Mutual Funds are subject to risks similar to those of stocks. Investment returns will fluctuate and are subject to market volatility, so that an investor’s shares when redeemed may be worth more or less than their original costs. There are unique potential risks associated with the specific asset classes that a Mutual Fund represents. Changes in investment strategies, contributions or withdrawals may materially alter the performance, strategy, and results of your portfolio. Different types of investments involve varying degrees of risk, and there can be no assurance that any specific investment will be equal to past performance level, equal any corresponding indicated historical performance level(s), be suitable for your portfolio or individual situation, or be profitable for a client’s portfolio. Past performance does not guarantee future results. All investment strategies have the potential for profit or loss. Economic factors, market conditions, and investment strategies will affect the performance of any portfolio and there are no assurances that it will match or outperform any particular benchmark for measuring the performance of a portfolio.