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Welcome to Auvernid.
Auvernid is a research-driven, active manager that complements its bottom-up fundamental company analysis with industry, sector and regional analyses. We aim to invest in companies that are creating value for shareholders by achieving rates of return on their invested capital that exceed their cost of capital. As a result we maintain a strategic bias to those companies and industries that have consistent and superior long-term growth potential. Valuations are taken into account and we monitor real money flows to help in assessing market risk. The firm's overall objective is to maximize exposure to the best market opportunities, while keeping the portfolio within acceptable risk tolerance levels and ensuring proper diversification of investment ideas.

We endeavour to make small gains throughout the portfolio with tight risk control. The focus on Economic Value Added analysis (EVAR) allows us to consistently avoid companies that are destroying shareholder value, such companies underperform the market over the long term.

Our approach is predominately a bottom-up stock selection process tempered by broad liquidity analysis and risk control. The liquidity analysis will influence our aggressive/defensive positioning and sector strategy and the risk control will influence our country and sector allocation.



For more information, visit
Auvernid Investment

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rajhere


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