GoodWin Asset Management strongly believes that superior risk-adjusted returns can be achieved through investment in high-quality companies purchased at reasonable prices. We use a disciplined fundamental research approach to identify companies with global dominance, management, financial strength and consistent growth. We add value through our extensive internal research process whereby we gain a thorough understanding of the companies in which we invest.

  • Strong Cash Flow Statement on the basis of Free Cash Flow Analysis
  • Good Quality of Earnings
  • Strong Earnings Potential
  • Strong Management Team with proven track record
  • Conservative Accounting Practices
  • Monopolies or Market Leaders
  • Strong Asset Base
  • Return on Assets
  • Return on Equity
  • Strong Customer Base
  • Low Leverage
  • Intrinsic Value of Stock