Adar Capital Partners (ACP) identifies unique investment opportunities by pairing expert analysis of investments in emerging markets with our extensive knowledge of the countries in which we invest. Our investment process is based on in-depth fundamental analysis, on-site due diligence, and deep local expertise.
The ACP team has developed strong relationships with investment banks and institutions throughout Latin America and Europe. We manage our investment risk by keeping our portfolio balanced and by maintaining low leverage ratios. Risk management is at the core of all of our investment decisions. We focus on global investment opportunities in equity and fixed income assets in Europe and Latin America.
- We create diverse and balanced portfolios to minimize market volatility.
- We manage our core group of investments to achieve optimal performance and build wealth in our portfolios.
- Our research analysis targets investment opportunities that we believe can achieve maximal returns for our investors.
- We engage in enhanced due diligence of investments with on-site visits, calls with management and internal review.
- We ensure safety by performing core risk analysis and selecting investments with solid
- We constantly review the possible downside risk in each investment, and we perform risk
assessments that place limits on aggregate investments and leverage.