Financial Services - , ,
MR Capital is an investment manager capable of generating superior returns by investing in a small number of highly attractive equity opportunities during periods when markets are in risk-on mode and preserving capital during periods when markets decline by continuously employing other asymmetric non-correlated strategies. Our overall strategy is designed to provide a unique hedge to only the undesirable beta exposure while creating a distinctive ability to reinvest directionally for the upcoming cycle.Where appropriate, we engage with other investment managers with significant experience deploying specific strategies.