RAM is a Canadian family office investing in early stage high return opportunities in Canada, the US, and selected emerging markets. We also manage liquid portfolios of equities and securities in the energy market through our unique industry knowledge and relationships with other family offices across North America. We act both as a passive public portfolio manager, a sole investor and co-investor with other family offices in energy and special situation projects
seeks to capture mispricing between highly related securities, and it involves actively managing a diversified portfolio of liquid, inflation-sensitive assets, designed with the objective to benefit from increases in inflation.
involves buying stocks we expect to do well and short selling those we expect to do poorly, seeking to provide investors equity-like returns with less volatility.
Environmental, Social and Governance (ESG) goals are important to us. We provide investors a variety of options to achieve ESG objectives.