Yorkville Asset Management

Equity Markets - February 2015

Yorkville's Deputy Chief Investment Strategist, Raphael Aronowicz, sheds light on Yorkville's QVR (Quality, Valuation and Risk) investment methodology. Sticking to this discipline helps us to avoid many of the mistakes investors fall victim to, leading to poor returns and the destruction of capital. Too often are investors seduced into chasing returns of high-flying growth stocks, or speculating on the "flavour of the month", only to be disappointed when the hype fails to deliver. The QVR methodology was designed to ensure we don't fall victim to these temptations by focusing on the factors we know make successful investments.

To learn about Yorkville's QVR methodology, please click here.