Our Company

IBR-Global Markets Ltd manages portfolios with a commitment to due diligence and risk controls. The firm creates a collaborative investment strategy where our mission is single-minded: we are focused on providing objective, customized advice. We specialize in providing independent assessments and exclusive investment recommendations for our client portfolios. Our clients rely upon us to successfully navigate the range of financial goals they seek to attain. Our firm is dedicated to providing exceptional investment management services by customizing financial advice, highly personalized investment strategies, and disciplined management to capture opportunity while minimizing risk. Our company is based on offering objective perspective, personalized planning, and sophisticated investment management to individual investors, families and corporations.

As we continue to grow and look to the future, IBR-Global Markets Ltd is committed to remaining a trusted and unbiased resource for our clients. The financial services industry, markets, and world are changing fast, while people are living longer and facing more complex financial needs. At the same time, investors are increasingly seeking to partner with advisors who offer unbiased guidance to help them face today’s financial planning challenges.

The Company is headed by Principal Director Mr. Ibrahim O Oyeniyi. Mr. Ibrahim Oyeniyi is an experienced FX Portfolio Manager and for over 12 years of experience in the Foreign Exchange Industry. Ibrahim Oyeniyi have worked with Integrity FX as an Introducing Broker, and also Instaforex as a Portfolio Manager. Furthermore, he has worked with private investors in building their portfolios.

Objectives

The short term objective is to start up the Company small and establish and maintain a good clientele that will sustain the business in its early operational stages. Establish good working relationships with our present investors by meeting with their decision makers and plotting a mutual plan for success. Get commitments for support and products that we can market to our clientele in accordance with their risk requirements.

The longer term objective is to ensure the Company is profitable, reputable and sustainable and these are achieved by good clientele retention, expansion of existing business and new business which is will be on the back of efficient service delivery by professional and qualified staff. We ensure that the company has a good training program for National employees who have the opportunity to work for the Company and produce the results.

Mission Statement

The main objective of IBR-Global Markets Ltd is to provide good customer service for its investors which allow Investors to make prudent, yet profitable income in the investment arena.

APPROACH

We maintain a fiercely client-focused business model. Whether you are an individual, family, or business, working with us means that you don’t just have one point of contact, you have an entire team of passionate professionals who are intimately familiar with your portfolio and your goals.

Our Process

The future is not static, so our process is designed to adapt to shifting markets as well as your evolving goals. Our goal is to understand and protect your assets, your future interests and your legacy. We start every engagement with discovery – understanding you and your needs, evaluating your risk tolerance, and then working with our Investment Strategy Group (ISG) to implement your plan within our universe of approved managers and asset classes.

INVESTMENT STRATEGY GROUP

Our Investment Strategy Group (ISG) is composed of our portfolio managers and investment professionals with many years of combined experience. Having a dedicated, in-house investment team means we can adjust to market changes swiftly and ensure that our firm’s strategy is always aligned with our clients’ individual investment needs. Investment Strategy Group (ISG) meets weekly to Develop, Determine, Set, and Research.

(1.) DEVELOP: Develop macro-economic analysis and assess impact on portfolios.

(2.) DETERMINE: Determine strategic asset allocation parameters.

(3.) SET: Set tactical asset allocation guidelines.

(4.) RESEARCH: Research, select, and monitor a list of qualified money managers.

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