Our Methodology

Richmond International’s professionals have observed the boom and bust of financial markets over the years but, ultimately, we accept that they are always driven by fear and greed. We accept the markets for what they are and we accept that the markets are NEVER wrong. It is only those that operate within them that are wrong.

For every investor – institutional or individual – who wins, someone else loses and this will remain the status quo for as long as markets exist. We aim to win and in order to achieve this goal, we must base our investment decisions on sound analysis and research.

Richmond International retains some of the most experienced global market analysts and we task them with a single mission – To provide our clients with the highest returns on investment with the lowest risk.

Our analysts successfully achieve this balance through the use of both technical and fundamental analysis. Richmond International uses a combination of both schools of analysis when evaluating the suitability of a particular stock, fixed income product or commodity for a portfolio.

It is this unrelenting research rather than the commonly-perceived impetuosity of the maverick trader that underpins our methods and ensures that your investments yield the returns you demand whilst limiting your exposure to downside risks.