We believe that diversification shields our investors from market volatility, and our multi-asset offer leverages our skills for seizing opportunities that encompass both traditional and alternative asset classes through a moderate use of leverage and derivatives.
This means our multi-asset strategies are geared to investors interested in protecting their portfolios from the risk exposure inherent to unpredictable market swings, while at the same time stabilizing investment returns. Higher correlation requires rethinking diversification. Among our boutiques, we also gather innovative approaches compared to traditional balanced strategies, in which time and correlation act as ‘true diversifiers’ of portfolios.
THE STRATEGIES WE OFFER
• Traditional balanced
• Total return multi-asset
• Absolute return multi-asset
• Fund of Funds
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