OUR STRATEGY

Gannet Capital has a very opportunistic but disciplined approach to investing. We seek to deliver consistent positive returns throughout market cycles, with a strong focus on risk management and capital preservation.

Investment and portfolio composition is determined by market opportunities rather than any predetermined commitment to investment in any one discipline or geography.

Our investment philosophy focuses on opportunities for long-term value creation through steady, consistent performance.

We base our investment decisions on detailed, research-based analysis and thorough due diligence. Our investment processes are designed to incorporate risk management into every investment decision, using both quantitative and qualitative approaches.

Focusing on the down-side and ring-fencing our capital, better known as risk management is a core element of our business philosophy.