NamNar Capital's process includes the performance of extensive quantitative and qualitative research on potential traders and strategies to identify:
Discernible market inefficiency to be exploited
Quality, integrity and alignment of leadership, team and organization
Historical risk-adjusted performance
Execution capabilities
Risk management protocols
Business infrastructure and relationships with external entities
Governance
Portfolios are efficiently and opportunistically designed to maximize risk/reward.
For more information on NamNar's offerings, contact us.