Strategy
Prolonged global market volatility highlights the need for the inclusion of investment management strategies that reduce the reliance on the traditional North American equity and bond investment fund model. More recently, global yield declines have also elevated the importance of not only diversifying investment returns, but preserving investment income from alternative sources.
STRATEGY
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Prolonged global market volatility highlights the need for the inclusion of investment management strategies that reduce the reliance on the traditional North American equity and bond investment fund model. More recently, global yield declines have also elevated the importance of not only diversifying investment returns, but preserving investment income from alternative sources. Initially, Bolton will lead with three key strategies to expand the range of investment alternatives:
Active Investment Management + Leverage in Passive Segments
The Canadian “Rate Reset” preferred share market presents the opportunity for active investment management in a predominantly passive and retail-driven market.
Proprietary / Delta Neutral Trading Strategies
Bolton offers clients the opportunity to invest in low-risk, delta neutral proprietary strategies that are primarily aimed at opportunistically extracting value.
Asset Optimization Advisory Strategies and Services
Bolton’s team of seasoned equity finance professionals has formed a strategic partnership with a global financial services firm
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