RIMAR Capital’s strategies are designed to learn and adapt rather than rely on long-term average conditions and relationships.
With this central principle in mind, RIMAR Capital designs strategies that are risk smart. All RIMAR’s strategies employ a proprietary risk management mechanism that regulates portfolio positions over time to adapt to changing market risk with the goal of containing losses and/or enhancing return.
RIMAR Capital’s risk adjusted and return orientated strategies make us an ideal partner for institutional investors.
We understand that you are looking for superior long-term returns within a framework of risk- adjusted returns.
Please contact us for more information.