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Unlock Long-Term Growth With the Tax-Efficient Characteristics of Our Actively Managed ETFs

We offer two innovative ETFs: the Full-Cycle Trend ETF (FCTE) and the REAL Asset Allocation ETF (RAA). Both leverage proprietary 3Fourteen Research strategies to deliver long-term growth and adaptability. 

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FCTE focuses on top-performing S&P 500 stocks using trend analysis and quality screening, while RAA provides a systematic approach to diversified asset allocation. These dynamic and tax-efficient funds are designed to meet the needs of growth-oriented investors.

How To Invest

Buy Through Your Brokerage

FCTE and RAA can be purchased, like most other ETFs, in Brokerage Accounts held at firms like Schwab, Fidelity, etc.

Further Assistance

If you have any additional inquiries or questions about 3FourteenSMI, please contact us at 844-328-3383. Our team is here to assist you with all your investment needs.

844-328-3383

About Us

3Fourteen & SMI Advisory Services is a synergistic partnership combining the power of 3Fourteen Research's strategies with over two decades of professional fund and separate account money management.  
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3Fourteen Research provides quantitative risk management and research for financial institutions worldwide. 3Fourteen specializes in creating rules-based investment models that can survive - and thrive - through an entire economic cycle. This process begins with a deep understanding of how the macro economy intersects with equities, commodities and fixed income investment options. Philosophically, 3Fourteen believes that unbiased data and models are the best antidote to the behavioral biases plaguing most investors.

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SMI Advisory Services was founded to provide a variety of professionally managed solutions that automate, and potentially improve upon, Sound Mind Investing strategies that investors might find difficult and time-consuming to implement on their own.  The firm provides a family of mutual funds and also provides separate account management.  The genesis of the firm is tied to the Sound Mind Investing newsletter, a monthly financial newsletter founded by Austin Pryor, that is dedicated to helping Christian individuals with their investing needs.

Meet The Team

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WARREN PIES, E.R.P  |  Co-Senior Portfolio Manager
 

Mr. Pies is a co-founder of the Adviser and is also the founder of the Adviser’s co-owner, 3Fourteen Research.

 

At 3Fourteen, Warren is the lead author and strategist. His research combines proprietary fundamental, technical and macro indicators to identify major investment themes and market trends affecting capital markets. Warren works closely with a team of analysts, data scientists, and developers whose expertise ranges from machine learning, time series analysis, and application development.

 

Prior to founding 3Fourteen Research, Warren led Ned Davis Research’s Energy and Commodity strategy. In that role, he built the firm’s commodity-related studies, models, and unique indicators.


Warren is a frequent contributor to the media including participating in the 2013 Barron’s MLP Roundtable discussion, the Wall Street Journal, CNBC, Bloomberg and RealVision. In 2014, Euromoney Institutional Investor awarded Warren the Padraic Fallon award for his research on the Shale Revolution.  Outside of the research world, Warren has worked as a practicing attorney specializing in regulatory approvals for various industrial activities and projects. He has also owned, operated, and sold a portfolio of self-storage properties to a national REIT.


He earned both his Bachelor of Science and Juris Doctorate from the University of Florida. Warren is an Energy Risk Professional – Certified by the Global Association of Risk Professionals.

MARK BILLER  |  Co-Senior Portfolio Manager
 

Mr. Biller is a co-founder of the Adviser as well as a co-founder of the Adviser’s co-owner, SMI Advisory Services.  

 

At SMI Advisory Services, Mr. Biller has served as senior portfolio manager of the entire family of SMI Funds since their creation in 2005.  He played a key role in the design and creation of strategies followed by the various SMI Funds.

 

As senior portfolio manager, Mr. Biller has ultimate decision-making authority regarding all portfolio decisions and trading practices of the Sound Mind Investing Funds. His duties involve researching and selecting the Underlying Funds in which the Funds invest, upgrading the Funds’ investments in Underlying Funds and determining the overall allocation among style categories. In addition to his duties at the Adviser, Mr. Biller has been the Executive Editor of the Sound Mind Investing newsletter and online business for over 25 years. Mr. Biller’s writings on a broad range of financial and investment topics have been featured in a variety of national print and electronic media, and he has also appeared as a financial commentator for various national and local radio programs. The Sound Mind Investing newsletter was first published in 1990 and currently has many thousands of subscribers. Since it was first published 35 years ago, the newsletter has provided recommendations to tens of thousands of subscribers using a variety of investment strategies that are used by the Funds. Mr. Biller earned his B.S. in Finance from Oral Roberts University.

FERNANDO VIDAL  |  Co-Portfolio Manager
 

Mr. Vidal is a co-founder of the Advisor and is also an owner of the advisor’s co-owner, 3Fourteen Research.  

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Prior to joining 3Fourteen Research, Fernando spent 7 years working as a quantitative analyst at Ned Davis Research’s consulting group conducting research, building and testing models and studies for institutional investors. Following his work at Ned Davis Research, he spent 6 years founding and leading a Data Science team at SauceLabs, a VC-backed fast growing market leader in software testing based out of San Francisco. His team worked on AI and Machine Learning applications involving large-scale time series analysis and classification models.

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At 3Fourteen Research, Fernando leads the model development process and brings machine learning research into the mix of qualitative analysis and quantitative rigor. His many years of experience implementing machine learning models at scale has provided him a combination of healthy skepticism and deep appreciation for how these techniques can add value to the investment process.

ERIC COLLIER, CFA  |  Co-Portfolio Manager
 

Mr. Collier is a co-founder of the Adviser as well as a co-founder of the Adviser’s co-owner, SMI Advisory Services.

 

At SMI Advisory Services, Mr. Collier has served as a co-portfolio manager of the entire family of SMI Funds since their creation in 2005. He was integral in the design and testing of the Dynamic Allocation and Bond Upgrading strategies utilized by the various SMI Funds.

 

Mr. Collier is a co-Portfolio Manager responsible for researching and selecting each Fund’s investments, determining overall allocation among style categories, and trading, subject to the ultimate decision-making authority of the Senior Portfolio Manager. In addition to his duties at the Adviser, Mr. Collier is a co-founder of Omnium Investment Company, LLC. At Omnium, he conducts analytical and quantitative research, and risk management.  Prior to co-founding Omnium, Mr. Collier worked at Oxford Group, Ltd, a fee-only financial services firm. At Oxford Group, Mr. Collier provided investment advice to several high net-worth individuals concentrating on investment and financial planning strategies. Prior to that Mr. Collier was an Investment Analyst and Registered Investment Adviser Representative for Webb Financial Advisers, an investment advisory firm, from 1997 to 2000, where he was responsible for due diligence and manager selection on large cap growth and value securities, small cap growth and value securities, international cap securities, and fixed income securities. Mr. Collier graduated from Indiana University with a B.S. in Finance in 1998. He also studied at the University of Maastricht in the Netherlands through the International Business Program at Indiana University. He has received the Chartered Financial Analyst (“CFA”) designation, and he is a member of the CFA Institute (formerly the Association for Investment Management and Research (“AIMR”)).

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ANTHONY AYERS, CFA  |  Co-Portfolio Manager
 

Mr. Ayers is a co-founder of the Adviser as well as a co-founder of the Adviser’s co-owner, SMI Advisory Services. At SMI Advisory Services, Mr. Ayers has served as a co-portfolio manager of the entire family of SMI Funds since their creation in 2005.  He was integral in the design and testing of the Dynamic Allocation and Bond Upgrading strategies utilized by the various SMI Funds.  Mr. Ayers is a co-Portfolio Manager responsible for researching and selecting each Fund’s investments, determining overall allocation among style categories, and trading, subject to the ultimate decision-making authority of the Senior Portfolio Manager. In addition to his duties at the Adviser, Mr. Ayers is a co-founder of Omnium Investment Company, LLC. At Omnium, he also conducts analytical and quantitative research, and risk management. Mr. Ayers helped develop the Adviser’s risk management procedures and a proprietary daily risk management reporting system. Prior to co-founding Omnium, Mr. Ayers was an Investment Analyst at Oxford Group, Ltd., where he was responsible for performing manager searches and due diligence on various mutual fund portfolio managers specializing in large capitalized growth and value securities, small capitalized growth and value securities, international capitalized securities, and fixed income securities. Prior to that Mr. Ayers was a Senior Investment Representative for Charles Schwab, where he assisted high net-worth clients with developing and trading complex option strategies, hedging concentrated portfolios, constructing diversified investment portfolios, risk management, and making individual stock and mutual fund recommendations. Mr. Ayers graduated from Indiana University with a B.S. in Finance in 1996, and he is a CFA charter holder.

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Join The Success!

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Contact:

Phone: 844-328-3383

Address:

4400 Ray Boll Blvd

Columbus, IN   47203

 View More Information About Our Firm: FINRA's BrokerCheck

 

ETFs trade like stocks, are subject to investment risk, fluctuate in market value and may trade at prices above or below the ETFs net asset value. Brokerage commissions and ETF expenses will reduce returns. Investing involves risk; Principal loss is possible. Investments in large-capitalization company stocks individually or as a group could fall out of favor with the equity markets, causing the Fund to underperform investments that focus on mid- or small-capitalization company stocks. Equity securities such as stocks tend to be more volatile than other investment choices. Because the Fund is non-diversified, the Fund may invest a greater percentage of its assets in the securities of a single issuer or a smaller number of issuers than if it was a diversified fund. As a result, a decline in the value of an investment in a single issuer or a smaller number of issuers could cause a Fund’s overall value to decline to a greater degree than if the Fund held a more diversified portfolio. The fund is new and has a limited operating history.
 

Distributor: Foreside Fund Services, LLC. Foreside Fund Services, LLC is not affiliated with SMI Advisory Services or 3Fourteen Research.

The Advisor to the Fund is 3Fourteen & SMI Advisory Services, LLC, which is a joint venture owned by 3Fourteen Research, LLC and SMI Advisory Services, LLC.

 

No Offer/Local Restrictions
 

Nothing contained in or on the Site should be construed as a solicitation of an offer to buy or offer, or recommendation, to acquire or dispose of any security, commodity, investment or to engage in any other transaction. The information provided on the Site is not intended for distribution to, or use by, any person or entity in any jurisdiction or country where such distribution or use would be contrary to law or regulation.
 

All persons and entities accessing the Site do so on their own initiative and are responsible for compliance with applicable local laws and regulations. The Site is not directed to any person in any jurisdiction where the publication or availability of the Site is prohibited, by reason of that person's nationality, residence or otherwise. Persons under these restrictions must not access the Site.

 

Information for Non-U.S. Investors:

The products and services described on this web site are intended to be made available only to persons in the United States or as otherwise qualified and permissible under local law. The information on this web site is only for such persons. Nothing on this web site shall be considered a solicitation to buy or an offer to sell a security to any person in any jurisdiction where such offer, solicitation, purchase or sale would be unlawful under the securities laws of such jurisdiction.

 

Not FDIC Insured.  No Bank Guarantee.  May Lose Value

Before investing, consider the funds' investment objectives, risks, charges and expenses. To obtain a prospectus or summary prospectus which contains this and other information, call 1-844-328-3383, or talk to your financial advisor. Read it carefully before investing.

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