NamNar Capital internally manages all strategies to ensure full oversight, seamless integration, and adaptability during evolving market conditions. Robust risk management and dynamic portfolio construction are used to exploit inefficiencies and deliver high risk-adjusted returns with trading strategies that are:
Diversified and uncorrelated with respect to risk / return profiles
Based on discernible and exploitable market inefficiencies
Opportunistic with no or variable directional bias
Highly liquid and macro-based
Mid or high frequency in nature
Fully systematic and algorithmic
Highly predictable regarding performance and returns
Portfolios are efficiently and opportunistically designed to maximize risk / reward.
For more information on NamNar's offerings, contact us.