
Seek certainty. Minimize risk. Pursue high rewards.
We utilize differentiated thinking and fundamental analysis in crafting a concentrated portfolio of global equities with very favorable risk-reward structures.
Our approach
We aim to minimize permanent loss and compound capital at above-market returns over the long run.
We prioritize being certain in judging publicly-listed businesses as owners. To be certain, we focus on the knowable. We must be certain that we can be adequately informed of a business before analyzing its risks and rewards.
We prefer to focus on the outliers in business edge and valuation. Low-risk business models often embed opportunities for overwhelming rewards.