Coleford Investment Management Ltd

Coleford Investment Management Ltd

  • 44 Victoria St Ste 1701
  • Toronto, Ontario
  • M5C 1Y2

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Description

Coleford's investment philosophy is to preserve and enhance client capital in real terms (after inflation) by controlling risk and realizing growth through investment in securities of superior quality and value. We identify these securities through a disciplined approach based on fundamental financial analysis. These securities are combined in segregated portfolios structured to reflect the financial circumstances and risk tolerances of each client. We are conservative, risk-averse investment managers focusing on after-tax investment returns. We believe investment risk is diminished through appropriate asset diversification, and therefore we favour a balanced approach, utilizing cash, fixed income instruments and equities in varying proportions dictated by the current investment environment and the circumstances of each client. However, history has shown that only equities have consistently produced significant real returns (after inflation), and consequently our client portfolios have equity exposure consistent with each client's risk tolerance.

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