Risk management and mitigation is a large part of our work here at the Avanti Group, which requires us to implement an array of strategies that are designed to improve our investment efficacy. We prioritise consistency and stability, over short term gains, which means our clients construct balanced portfolios.
Our researchers are constantly attempting to identify developing consumer and stock market sector trends and monitoring these areas so that our clients are able to invest in the right instruments at the right time.
The Avanti Group utilises both passive and active strategies including...
Trend identifcationAlgorithmic TradingLiability Driven TradingMarket Timing StrategiesConsolidation and ConvergenceBuy and hold · ...and many more.