OUR APPROACH
Atlantic Global Asset Management is a major global asset management firm with well-established businesses in the Asia-Pacific and South Africa region. We believe that Atlantic Global is well experienced to provide a consistent and credible investment process across our capabilities. Company’s expertise is based on the local knowledge and experience of our team and partners.
Investment Philosophy
Identify the best investments within each industry based on relative value; Investment opportunities for long term capital growth are identified through research; Manage risk through creation of diversified portfolios.
Investment Strategy
Economic sector diversified – provide diversification by industry, optimize risk/ reward; Long term investment – minimize transaction cost and maximize participation in the primary market; Macro oriented - investing seeks to benefit from mispricing and dislocations in stock, bond, currency and commodity markets by going long assets that the data suggest are undervalued and short those that are overvalued.
GOVERNANCE STRUCTURE
A cornerstone of Atlantic Global Asset Management’s strategy is a focus on governance to ensure that we fulfil our responsibilities to clients. The aim of focusing on governance in everything we do is to ensure that we are responsibly fulfilling the trust and confidence of our clients.
Clients
We believe in long-term and successful client relationships. We treat our investor’s money as our own.
Employees
Atlantic Global Asset management strives to build strong relationships with its employees by providing them with enriched work experiences in an environment where they are respected, engaged and rewarded according to their contributions.