December 3rd, 2008
 






Mercator's goal is to provide superior investment returns for its clients through value-oriented, broadly diversified portfolios. The firm's approach is to identify attractive, undervalued securities and to select those that have good prospects either for a recovery in earnings or for growth in earnings over the long term.

With this bottom-up approach, Mercator also believes in being well diversified by country and industry to reduce portfolio risk. In addition, portfolio returns benefit from the firm's five year average holding period which minimizes transaction costs and management expenses. Portfolios are typically fully invested.


overview | philosophy | client types | investment services | people | contact | legal
Mercator Asset Management, L.P.
5200 Town Center Circle, Suite 550 | Boca Raton, FL 33486
Tel: 561-361-1079 Fax: 561-368-8010
Copyright © 2002-2008, Mercator Asset Management, L.P.All rights reserved.