At Neuron, we constantly seek out equity mispricing opportunities in developed markets around the world.
This global mindset allows us the flexibility to continually re-balance and optimise our portfolio for risk and return.
Our global asset allocation model also gives us a more comprehensive understanding of the global economy and the inter-linkages that affect regions, industries and companies within it, thus offering us valuable insight about trends before they become pronounced.
Finally, our global approach has a rather practical advantage of being able to select our winning trades from an exhaustive universe of over 10,000 equities and ETFs listed in our chosen public equity markets.
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