About Tutuila Asset Management Inc.
Our goal is to protect our clients’ capital from permanent loss and grow their purchasing power over the long-term.
We consider ourselves “valuation investors” who invest alongside our clients with aligned interest. We have embraced a philosophy and business model that allows us to focus our time and energy on our current holdings, investment opportunities and regulatory compliance, while keeping management fees and expenses low.
Why Choose Tutuila?
We believe the best way to reliably build wealth over time is to invest in a diverse range of assets with no or minimal leverage. If this can be combined with a tolerance for short-term volatility and a willingness to add to one’s portfolio from ongoing savings, the result can be a very effective strategy in obtaining financial security and independence.
Via the Tutuila Global Fund LP, Tutuila offers Canadian accredited investors a concentrated portfolio of approximately 8-15 attractively priced companies that meet our investment criteria. By focusing on our best ideas (primarily non-Canadian companies) and having a management expense ratio lower than most actively managed investment funds, we can help long-term investors add a unique product to their diversified portfolios.