Parvin Asset Management
PARVIN For nearly 25 years, Parvin has been offering its portfolio management strategies to address the investment requirements of the clients we are privileged to serve. Our objective is to preserve capital and to provide higher risk-adjusted returns than the market. To accomplish this goal, we concentrate on the fundamental importance of profitability and value. In our view, excess returns are earned by investing ahead of the market, not following its trends. We believe investment success depends on disciplined analysis, reasoned judgment of value, confidence to buy at marked-down prices, and patience to let profitable companies earn recognition. We work to incorporate this perspective across all of the accounts we manage. Our portfolio management services are guided by enduring value and consistent profitability in all of our investment decisions. We manage portfolios using traditional and alternative strategies, each with an emphasis on capital preservation that typically results from finding great companies at great values.
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Brian Smith
VP Research & Operations · General Business & Management
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J. Steven Smith
Managing Director · General Business & Management
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