Investment Mastery

Hallatorp Asset Management, founded in 2024, offers a unique investment strategy designed to achieve superior returns. Our mission is to consistently outperform the OMXSGI, a widely recognised benchmark for the Swedish stock market.

Our portfolio management approach is guided by rigorous fundamental analysis. This involves a thorough evaluation of each company’s financial performance, industry trends, and competitive landscape. We seek undervalued companies with strong growth potential and stable dividends.

In line with our commitment to prudence and risk management, we employ the MA200 technical indicator as a key decision-making tool. This indicator provides insights into long-term market trends, helping us identify potential entry and exit points for investments.

Our track record speaks volumes about our ability to deliver exceptional returns. In 2024, our Growth Portfolio outperformed the OMXSGI, demonstrating our skill in identifying high-growth companies. We are confident in our ability to continue generating consistent alpha for our investors.

Leave a Reply

Your email address will not be published. Required fields are marked *