Our goal is to generate attractive risk-adjusted returns for our clients over the long-term.
Our strategies and security selections are based on identifying intrinsic value in the stocks, credits or markets in which we invest.
We rely on our own fundamental research while keeping abreast of the work of others.
We recognise that investor emotion and market momentum lead markets to mispriced assets in the short-term. We see these market gyrations as opportunities for our long-term investment horizon.
We follow a team-based approach across all investment areas. We challenge each other's assumptions. We debate.
We adhere to robust investment processes and portfolio construction methodologies.