• Identification of sectors or assets where mispricing is taking place as a result of changing market sentiment;

  • Maximising profit by a combination of stock selection at the point of acquisition and aggressive asset management to drive value in the short to medium term;

  • Utilisation of detailed research material by reference to market indicators and circular pricing movements over a 5, 10 and 15 year period;

  • Achievement of equity returns in excess of 25% as a target in line with historical performance from exited funds.


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