Financial Services - Fort Lauderdale, Florida, United States
The investment objective of the Company is to achieve a superior risk-adjusted total rate of return primarily through exposure to equities, derivatives and related instruments in companies listed on the highest liquid U.S. markets (NYSE, NASDAQ, AMEX). The Company will seek to achieve its investment objective by employing a disciplined, diversified portfolio of equities and derivatives by which the exposure to macroeconomic factors such as commodity prices, exchange rates, stock market fluctuations, and regional economic growth will be minimized. The Investment Manager's performance will be judged on an absolute return basis, rather than by reference to any stock market index.
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