How our analyzes are done

At Ártica Long Term FIA, we look for investment opportunities where the probability of gain is substantially greater than the probability of loss. Our valuation analyzes go much deeper than multiples analyses. We follow the discounted cash flow model, but the results of both approaches point in the same direction. We always like to cross-check with simplified approaches to ensure we don't lose reason amidst the details and complexities of the more technically sophisticated analyses.
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