Our Investment Strategy

Galaxy’s approach to investment is solely based on research. Our goal is to produce consistent positive returns for our clients in all market conditions. We aim never to lose money in any twelve–month period and to generate returns ahead of the ‘risk–free’ alternative. We have a distinctive investment approach, focused on producing consistent returns and not losing money. For each of our clients, our aim is to strike the right balance between risk and reward while avoiding the explosive ups and downs of the market cycle. We have reverence for our client’s needs and expectations. For this reason management’s oversight responsibilities and guidelines concerning Monitoring and Evaluation is never compromised. We conduct our own independent research, actively manage investments and operate freely, without the straitjacket of relative returns or market benchmarks.

We try to provide a service that combines good investment returns with first class administration and clear reporting.

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