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The Avanti Group Equity Research
As a boutique equity research house The Avanti Group provides over 500 superior grade research reports to its institutional clients. This is done on a per request basis, and represents our primary company revenue.
Portfolio Advisory Management. Since 2011 The Avanti Group has also offered a portfolio management service to its private investors. This however, is a limited service which is subject to availability and is used to assist with the company's public relations campaign.
The Avanti Group's mandate is essentially to find and refer to our corporate clients those investment instruments which following our review of their credentials, we believe to be undervalued, and have high share holder value. This we do for our stock brokerages, fund managers, and similar corporate clients, who per year commission The Avanti Group to undertake on average 500-600 research contracts. Each year as a result of the research data we collect and analyse we are usually able to give a confident recommendation on at least one in every hundred companies we are commissioned to review.
As we review so many companies each year ...
... we're then left well informed in terms of which stocks to enter into, and which stocks will become counter productive and must be exited. In this way, through our hard work, and due diligence we cannot achieve a success rate of one hundred percent; but we ensure we are ahead of the wider investment community and over the long term we are generating strong profits for our clients, which is why they choose The Avanti Group year after year.
Once our analysts have collated sufficient data for our statistical inferences to be meaningful, the process of performing proprietary analyses begins, which is both what separates The Avanti Group from similar research houses, and makes our information more reliable. As an equity research house its our job to identify not only the trends in the market place that our traders need to be aware of, but also the risk factors associated with any potential investment.
Risk management and mitigation is a large part of our work here at the Avanti Group, which requires us to implement an array of strategies that are designed to improve our investment efficacy. We prioritise consistency and stability, over short term gains, which means our clients construct balanced portfolios.
Our researchers are constantly attempting to identify developing consumer and stock market sector trends and monitoring these areas so that our clients are able to invest in the right instruments at the right time.
The Avanti Group utilises both passive and active strategies including...
• Trend identifcation
• Algorithmic Trading
• Liability Driven Trading
• Market Timing Strategies
• Consolidation and Convergence
• Buy and hold
Company Overview
The Avanti Group is an equity research house providing research and analysis outsourcing solutions for institutional financial traders world wide. Our method of identifying undervalued investment instruments through data collection, review & analysis techniques, and trend identification triumphs has become well known within the investment community over recent years as the words “Avanti Group” have become synonymous with success.
The Avanti Group was founded in Tokyo in the year 2003 following a major market correction, by a group of like-minded financial professionals who's collective experience within the global equity markets, legal compliance and financial legislation, has since allowed the company to succeed throughout the turbulent past five years.
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