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Mihir Ray877-501-5463Email Mihir |
Location:
Toronto
Statement:
My objective is to provide capital preservation strategies for my clients, with the goal of providing them attractive investment opportunities. To this end, I remain abreast with the market trends, both economic and political, on an ongoing basis. These have profound implications on the financial industry, particularly the commodity market.
While formulating trading strategies for my clients, I follow a definitive approach utilizing stops and realizing profits periodically, in order that the twin strategy of capital preservation and return potential is achieved. I follow this strategy both in bull and bear markets.
My vast array of experience in the financial services industry spans close to 30 years both in Canada and abroad. This extensive background in the banking and brokerage industry has provided me with the global exposure and mature perspective required to ensure client needs are continuously met.
Industry Background:
I have worked with globally renowned banks in the areas of investment and corporate banking, as well as with reputed investment dealers in Canada including CIBC Wood Gundy and BMO Nesbitt Burns. I have been working for MF Global Canada (now Lind-Waldock Canada) since 2005 as an adviser in Investments, futures and options.
Over the years, I have acquired financial industry qualifications such as Canadian Investment Manager and Fellow of the Canadian Securities Institute in order that I can serve my clients effectively.I have been involved with different facets of the financial industry over the last 30 years. During this period, I have upgraded my professional and trading skills by acquiring various professional qualifications. I have been a regular contributor to newspapers and trade journals.
Market Focus:
Currencies, fixed income, equity indices, precious metals and energy markets
Analysis Preference:
Both technical and fundamental analysis, with ongoing emphasis on global political and economic trends.
Technical Study Background:
Completed a technical analysis course and familiar with Elliott Wave, Bollinger Bands, Moving Averages, Relative Strength Index.and Stochastics.
Advisory Background:
Gartman Letter, Hightower, Moore Research, Bloomberg
Trading Strategies:
I use technical analysis to identify pivot points to enter and exit trades. I use options as entry points, to define risk and collect premiums if appropriate for the customer. I make extensive use of moving averages and stochastics.