ASSET MANAGEMENT

ASSET MANAGEMENT

  • Managed Accounts
  • Mutual Funds (UCITS IV)

We apply a value based investment approach, based on proprietary research. Superior risk-adjusted returns are targeted through rigorous bottom-up fundamental analysis, coupled with top-down screening.

We look for positive risk adjusted results through a wide range of market environments. Banor Capital adopts a careful risk-management discipline, performing portfolio stress-tests and scenario analysis.

© Banor Capital limited is authorised and regulated by the Financial Conduct Authority