We, at Narnolia, are celebrating 25th year of our existence and as we look back we find this journey of over two decades, from a leading financial intermediary of Eastern India to a name to reckon with at the National and Global arena, to be very satisfying.
Today, we have managed to develop the best of the products, systems, processes, technology and, more so, we have the best of the people working with us. But, what differentiates us from others is the 100 years of combined national and global experience of our promoters, our relentless pursuit of generating ‘superior and consistent risk adjusted returns’ for our investors. All this is achieved with the use of innovative, disciplined, client focused and process-driven multi-asset, multi-strategy framework.
At Narnolia, we have created one of the best data- driven buy-side research team in the country, with capabilities spread across asset classes and investment strategies. We use our extensive in-house data framework & infrastructure built over the past decade for both domestic and international securities to support our research processes. Our proprietary analytical engine, with intelligent strategy development and testing capabilities, provide quantitative and as well as qualitative support in selecting appropriate investment Strategies. Not only we do focus on returns, we also focus on quality of returns. Our objective is to maximize returns per unit of risk for the investor.