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Fairview Securities, Inc.



Fairview Securities, Inc is a member of 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 seven exams.


Fairview Securities was formed in 1999 to be a leader in third party marketing for alternative investment management .They primary business is to identify unique, alternative investment strategies appropriate for institutional investors and function as an exclusive marketing partner with a select group of alternative investment management firms.



 Fairview Securities has a combined experience of over eighty years marketing alternative investment strategies, primarily hedge funds and private equity, to institutional investors. By creating a partnership of highly regarded and seasoned marketing professionals, Fairview Securities is well positioned to deliver highly efficient results from its sales efforts in an expanding capital base.


This fund seeks to provide investors with superior absolute returns with significantly less risk than the overall stock market through the management of a diversified portfolio of long and short investments in US equities. The fund utilizes fundamental analysis for long and short stock selection. Long positions are initiated in companies that generate high levels of predictably recurring revenues selling below their intrinsic value.  Their organization also includes a Chief Operating Officer and four Research Analysts. 


This is fund seeks high absolute returns with relatively low volatility by trading in U.S. Government securities and related financial instruments. The manager utilizes a discretionary trading approach based on economic and political fundamentals with a technical overlay. Funds have generated consistent performance over a nine year period using outright positions that do not require significant leverage to generate attractive returns.


The manager employs a systematic, computer-based strategy which uses price series and momentum analysis to actively manage a portfolio of global futures, options and forward markets, including foreign currency, interest rates, stock index and commodity sectors. The manager utilizes a mathematical algorithm to determine the profit potential of over sixty five markets worldwide. Typically the process identifies forty global markets in which to invest. A proprietary volatility and correlation model is used to determine the appropriate absolute dollars at risk in each market held in the portfolio in order to equalize profit and loss potential. The manager has a twenty year track record with this strategy.




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