Investment Objectives

The investment objective of Barac Capital is to achieve superior risk-adjusted returns through a long-term value-investment approach. The company dynamically allocates capital across multiple asset classes (e.g. stocks, bonds, and Treasuries) and geographic regions based on a thorough analysis of valuation and risk/reward dynamics. For separately-managed-accounts, investment objectives can be customized to individual needs and goals.  

 

The firm is dedicated to exceptional client service and transparent communication.