Ramek Asset Management relies on internally generated proprietary mathematical models, hedging strategies, fundamental value analytics, information obtained from investor presentations / roadshows and research material to identify the intrinsic value of securities and by actively managing the position to generate superior returns for our clients.
Through its blue chip counterparty relationships, Ramek Asset Management offers to its clients outstanding access to global financial markets. We strongly believe that each investor has different investment needs in terms of investment horizon, income, risk and return. Our team is committed to provide and deliver a superior, personal service.