Our unique approach to investing is driven by extensive research and employs a bottom-up- down together with a top-down sector overlay.
Our investment philosophy is to ensure funds are managed by having a diverse portfolio of fundamentally sound companies that have a yield underpin while striving to achieve consistent long-term out performance.
NAM’s quantitative based investment approach ensures portfolios are managed through the use of analytical modelling based on six fundamental factors. provide high quality investment management and top- level client services to numerous individuals, public corporations, as well as institutional investors and corporate entities.
The analytical modelling investment decision factors in structuring our portfolios include: