ABOUT GAMBLE JONES CAPITAL MANAGEMENT
Gamble Jones Capital Management performs bottom-up, fundamental research on the securities of publicly traded companies. The team utilizes this research to craft investment strategies with various investment objectives. GJCM actively manages the strategies through a disciplined investment process.
REASONS TO INVEST IN OUR STRATEGIES
GJCM strategies vary across the risk spectrum, allowing investors with different objectives and risk tolerances to invest in the most appropriate strategy.
GJCM strategies are focused on a select number of securities, our very best ideas, allowing for extensive research of current holdings and prospective investments.
GJCM strategies may serve as an investor’s core portfolio or as a complement to an existing portfolio.
GJCM strategies are managed by our team of experienced investment professionals with investment analysts holding the CFA designation.
GJCM strategies provide relationship manager access, quarterly reports, and investment updates.
Gamble Jones Capital Management (GJCM) has complied with all the composite construction requirements of the Global Investment Performance Standards (GIPS®) on a firm-wide basis for the period January 1, 2013 through December 31, 2017 and designed its processes and procedures to calculate and present performance results in compliance with GIPS as of December 31, 2017. Please click on this link for more information.
OUR INVESTMENT APPROACH
Gamble Jones Capital Management’s Investment Triangle
As an active investment manager, we invest in a select group of companies on behalf of our clients. We have a disciplined selection process which looks for companies with three important criteria: a differentiated business model, a proven management team, and an attractive valuation.