Objective data, historical measurements, and an experience of market dynamics established over the years-this is what drives our investments. We have an exclusive interest: to protect and enhance the assets entrusted to us.
Since 2008, anticipating a trend that has since become established in asset management, our policy has been inspired by the principles of absolute return: flexible, careful to keep volatility low and portfolio liquidity high. This approach relieves the client of the need to decide on the level of risk to be taken as opposed to passive management.
We aim to beat the market only if we believe we have identified an inefficiency, otherwise we follow it by looking at the beta: it is cheaper.
Strategies and investment choices are always the result of discussions among members of the management team, a group of professionals with more than solid experience.
LUXEMBOURG
25A BOULEVARD ROYAL
2449 LUSSEMBURGO
LONDON
40 NEW BOND STREET
W1S 2RX LONDON, UK