Investment philosophy
Ostrava’s investment philosophy is to generate the greatest return on capital on funds employed, using little or no debt, whilst quantifying and understanding the nature of the risks involved in this process.
Ostrava invests in shares, which are fractional ownership interests in businesses and cash. Our cash share ratio depends on conditions in the stock market and to a lesser degree, the economy.
Utilising a value based investment model, we screen the stock market looking for companies that meet our investment criteria.