Our purpose is to unlock the full potential of your capital—
through tailored strategies, transparent execution, and deep regulatory insight. We align opportunity with precision, so your capital performs with clarity, control, and purpose.
Investing with Intelligence. Leading with Perspective.
Our investment methodology is based on a disciplined framework that combines elements of top-down and bottom-up approaches, looking at the macro- as well as the micro-level detail. We lay a great deal of focus on cashflow generation, sustained and high visibility-high quality profitability, relative value and softer qualitative factors such as a company’s competitive edge, the quality of its management and their track record as custodians of shareholders’ funds. We combine elements of fundamental and quantitative-technical analysis to minimize the role of subjectivity, emotion, cognitive bias and market-driven sentiment in the investment decision-making process. Our quantitative model uses a multi-factor scoring framework that generates ratings for relative investment attractiveness of different stocks, sectors and asset classes. Price action, and its correct interpretation is an important factor in our processes
tHE EXECUTIVE TEAM
Alan Brooks, Co-Founder & CEO of Kinsey McBain
With over three decades of experience in global financial markets, Alan Brooks is a seasoned leader known for blending strategic insight with hands-on trading expertise. He began his career at Smith New Court (later Merrill Lynch) in 1987, specialising in structured and arbitrage strategies. Over the years, he held senior roles across the City of London, shaping multi-asset trading platforms and overseeing Prime Broking, Electronic Trading, and Clearing Solutions worldwide. Today, as CEO of Kinsey McBain, Alan drives innovation and sustainable growth, championing operational excellence and forward-thinking leadership. He’s a trusted voice in the industry and a passionate advocate for transparency, collaboration, and long-term value creation.
Ashish Misra, CFA
Co-Founder & Chief Investment Officer
Ashish Misra brings over three decades of global investment experience across both the sell-side and buy-side, having served as an analyst, strategist, fund manager, and private client advisor. His career spans leading financial institutions across Asia and Europe, including the Unit Trust of India, Peregrine Capital (Hong Kong), Robert Fleming, and BNP Paribas.
He held senior leadership roles at Lloyds Bank Private Banking, most recently as Head of Investment Specialists, and previously as Head of Investment Policy & Governance, where he was instrumental in shaping investment frameworks and client advisory strategies.
Ashish is the Founder and Chief Investment Officer of Paramarsh Investment Advisors, a boutique investment advisory firm. His investment philosophy is rooted in a top-down global macro approach, enabling the construction of multi-asset portfolios tailored to diverse risk-return profiles. He has advised several family offices and high-net-worth individuals, with deep domain expertise in equities, fixed income, commodities, and currencies.
Ashish holds a Bachelor’s degree in Mathematics from St. Stephen’s College, University of Delhi, and an MBA from the Indian Institute of Management, Ahmedabad. He is a CFA charterholder from the CFA Institute, Virginia, USA, and a member of British Mensa.
Alex McIntyre, Co-Founder and Managing Director, Compliance and Risk
Has over 4 decades of expertise in financial markets, spanning investment banking, asset management, and regulatory oversight. He held senior roles at SG Warburg and Lehman Brothers in London and New York, where he developed deep capabilities in capital markets, structured finance, and client advisory.
He later joined Aviva Global Investors, working across London and Boston, where he led strategic initiatives in portfolio management, operational governance, and institutional client engagement.
Throughout his career, Alex has championed rigorous compliance oversight and enterprise risk management. He has implemented robust regulatory frameworks, strengthened control environments, and ensured alignment with evolving FCA and SEC standards. His leadership in risk governance, conduct risk, and cross-border regulatory coordination has made him a trusted advisor to boards and executive teams navigating complex financial and operational landscapes