RIMAR offers multiple investment options to clients. RIMAR’s strategies involve a combination of equities and other asset classes such as bonds, futures, options, and other derivatives. The diversified portfoliosreduce the risk clients face from exposure to any one sector, asset class or trend and from volatility in any single market.
At RIMAR Capital we invest in a wide array of financial instruments. Some strategies take on more risk than others, so you must select which strategy is suitable for your financial goals.