Our Distinguishing Investment Philosophies
| Key Objectives | Our Approach |
| Wealth Preservation | As advisor to large family groups, we emphasize sound risk management and greater diversification to ensure capital preservation |
| Absolute Return Strategies | Focus on absolute return of assets under management, rather than aggressive growth strategies |
| Diligent Portfolio Selection | In keeping with our investment philosophy, our tailored portfolios keep downside volatility low and deliver equity-like returns Selection of single independent money managers only (no fund-of-funds) |
| Sound Risk Management and Monitoring | Low market correlation striving for consistent, risk-adjusted, absolute returns, regardless of market conditions Enhanced diversification through investment in independent money managers with proven track records, who among themselves have low correlation |
| Attractive Pricing | Cost-efficient diversification of traditional asset classes, equity exposure through low-cost index solutions such as ETFs |
| Best Practice | Independent advice No retrocessions or kick-backs No proprietary products |
| Excellence | DARA CAPITAL proudly recognizes that, as well as its adherence to a sound investment approach, its most valuable assets are its people; a diverse group of highly experienced, motivated and diligent professionals from throughout Asia, Europe and the US |
