Equities
 
 
  Investment Strategy
 
  Equities
 
  Equities Selection
 
  Fixed Income
 
  Investment Process
 
  Asset Allocation
 
  Performance
  Goodwin equity management  
 

GoodWin Asset Management strongly believes that superior risk-adjusted returns can be achieved through investment in high-quality companies purchased at reasonable prices. We use a disciplined fundamental research approach to identify companies with global dominance, management, financial strength and consistent growth. We add value through our extensive internal research process whereby we gain a thorough understanding of the companies in which we invest.

 

    Strong Cash Flow Statement on the basis of Free Cash Flow Analysis
    Good Quality of Earnings
    Strong Earnings Potential
    Strong Management Team with proven track record
    Conservative Accounting Practices
    Monopolies or Market Leaders
    Strong Asset Base
    Return on Asset
    Return on Equity
    Strong Customer Base
    Low Leverage
    Intrinsic Value of Stock
     

The key to this strategy is a highly disciplined investment stock-selection process relies on fundamental investment principles that have been tested over time. Through this process, we identify approximately 50 stocks from US and international well capitalized companies for your portfolios.

 
 
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