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NAFA Capital Markets, Llc


NAFA Capital Markets, Llc is a member of NASD, the National Association of Securities Dealers. NASD is a self-regulatory organization of the securities industry responsible for the operation and regulation of the NASDQ stock market and over the counter markets. It also administrates exams for the investments professionals, such as the series of 7 exams.
 
NAFA has been managing portfolios for individual and institutional investors since 1996 and over 40 years of experienced investment advisors. NAFA has managed a broad variety of portfolios through the Tech bubble of the late 1990s, the Tech bubble burst of 2000, and the Terrorist attacks of 2001. Throughout, they have provided consistent, steady portfolio management for their clients based on a solid, proven investment philosophy and disciplined processes.

Short Term Bond Strategy provides safety of principal with competitive returns as a secondary objective. The Portfolio invests in bonds backed by the Full Faith and Credit of the U.S. Government.
 
NAFA seeks higher yields and total returns than are available with short term bonds. The Portfolio invests in investment grade corporate bonds in addition to a core holding of bonds issued by the U.S. Treasury or Federal Agencies. They are a client driven firm that seeks out the best possible options for their customers financing needs whether they are a municipality or private company.

Their Convertible High Yield Strategy Seeks to provide high total returns from income producing securities with the potential for capital appreciation. The Strategy invests in convertible corporate bonds and convertible preferred stocks of publicly traded companies. Convertible securities typically pay higher interest or dividends than common stocks and are exchangeable into the common stock of the issuing company. Their Small Cap Value Strategy seeks to provide returns consistent with the long term historical average of small company stocks. Since 1926, small company stocks have outperformed large company stocks by approximately 2.0 percent.

They are an independent, privately owned company, free from the constraints of outside ownership. While they benefit from the research of other investment companies around the world, they rely on their own independent in house research and analysis. And, because investment management is their only business, they are able to focus on their primary objective is to preserve and create wealth for their clients.

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