Palmetto Capital employs an actively managed, multi-disciplinary approach to investing. We focus on generating long-term investment returns through a combination of capital appreciation and income generation, and we follow a flexible approach in our investing strategies so as to capitalize when market conditions present favorable investment opportunities.
We believe that a consistent program of implementing these strategies, while exercising patience during market volatility, will allow us to achieve superior long-term returns for our investors.
We aim to generate alpha from both short- and long-term market mispricings and inefficiencies, and we invest across several industries and securities. Frequently, we lean towards transactions involving optionable securities, though we do not limit ourselves to predefined strategies. We aim to maximize option premium and other investment income when available, while at the same time staying nimble enough to protect against downside risk to the extent possible.