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We are committed to consistently meeting our clients’ investment objectives by managing portfolios in a disciplined manner and with investment processes that have been tested in all market cycles. We believe that the unique way in which we combine qualitative, fundamental research with our proprietary quantitative tools, provides our clients with the best balance between upside return potential and downside risk management. We also believe that managing concentrated portfolios that own fewer securities allows for the greatest potential to add excess return.
Laketon is focused on delivering excellence in the following investment disciplines:
Laketon also acts as the Canadian representative for its Dublin-based sister company, Setanta Asset Management, on global equity management:
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