Grand Street Capital Management employs a Value Style approach to investment management. Our process begins with a bottom-up research strategy that evaluates securities according to their micro economic characteristics. Variables such as cash flow, book value, and price to earnings ratio helps determine the security’s intrinsic value or what we think is it’s true value. This value is then compared to a security’s current market price and a decision is made to buy, sell, or hold the security. We believe that solid research is fundamental to sound security selection. We combine stocks, bonds, mutual funds, or exchange traded funds into a portfolio of investments that will minimize risk and provide a safer return for our clients. Experience has taught us that a patient, controlled, and disciplined approach to the investment process over the long term will help our clients realize higher, risk-adjusted returns.