Risk adjusted returns can be maximised by actively extracting value from as many ALPHA sources as possible
Focused diversification of risk across these sources should generate consistent performance in all market conditions
Incremental, consistent alpha that compounds over time ensures a low volatility portfolio that generates competitive active return in a predictable fashion, through all stages of the investment cycle
ALUWANI Capital Partners offers a suite of investment products that can be blended into any client’s investment strategy to suit a specific objective and risk profile.
Clients can access these products either through segregated mandates or via pooled investment vehicles. Our building block investment approach enables us to create products that will meet the changing regulatory environment.