Strategy
our strategies
Riposte Global Opportunity Fund
- Primary industry focus: Consumer, Energy, Financials, Industrials, Real Estate and Transportation.
- This results in a diversified, idiosyncratic portfolio delivering highly uncorrelated returns.
- The Equity Strategy is run with low net exposure, coupled with a rigorous risk management discipline.
- We seek to deliver risk adjusted returns through a fundamental research process involving frequent dialogue with management teams, industry executives and an extensive network of private operators that have been cultivated since inception.
Strategies
Sector Focus
Consumer
Energy &
Renewables
Renewables
Financials
Industrials
Real Estate
Transportation
strategies
Idea Generation
New Idea Generation
Source 1: Team Coverage
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Source 2: Public Markets
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Source 3: Private Markets
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Investment Process
Primary Research/Idea Generation
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Fundamental Analysis/Stock-Specific Due Diligence
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Risk Management/Margin of Safety
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our strategies
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