An investment approach that seeks value deep within the markets
Our goal is to drive long-term alpha through data analysis, capital preservation, and attention to market cycles.
Our team’s experience and insight has helped us develop a clearly defined investment methodology that sets us apart from most other asset managers.
We evaluate current economic trends, market activity, and investor sentiment to determine what strategic asset allocations are likely to provide the desired balance of risk versus potential reward.
How we do it
Our strategy concentrates on the strongest performing
liquid stocks in the market, allowing us to:
Identify companies poised to disrupt their industry and/or produce game-changing breakthroughs within their business.
Capture price inflections relatives to peers or historical patterns which present opportune entry and exit points.
Focus on companies with long-term sales potential and premium pricing power.
Underpin the strategy with efficient risk management that allows for maximum upside potential while seeking to mitigate downside risk
In addition, our analytic capabilities allow us to look deep within various market sectors to uncover insights and patterns. We look at these data points separately and collectively to help optimize the portfolio.
People say we’re stubborn about risk, and that’s true. Like any other tool, risk needs to be used smartly to help pursue goals. Our risk management protocols help us move quickly in the face of downside trends.