Panoramica

Since inception, we have been creating secure, well-balanced and diversified portfolios for private and institutional investors.

We are hard workers, systematic, emphasizing long-term capital preservation that focuses on returns, low volatility and a selection process based on strict macro and micro-economic analysis.

These principles may guide us, but they do not restrict us either – ongoing monitoring and risk management help us continue to create the best results for our clients in a dynamic world.

We take three main approaches to asset management:

High conviction

We take a benchmark-unconstrained, long-only approach to investing with the aim of delivering consistent, absolute performance while maximizing risk-adjusted returns.

Factor-based

Our factor-based strategies focus on shared characteristics of securities and aim to deliver sustainable risk-adjusted returns. We strive to create resilient portfolios by equally balancing exposure to factors across cycles.

Alternative

We also create more complex strategies, designed to help our clients benefit from diversification and changing market conditions in order to achieve long-term inflation protection.

Le nostre sei strategie dedicate e altamente diversificate offrono bilanci solidi, diversificazione, performance operativa e generazione di flussi di cassa. Miriamo a creare crescita sostenibile e conservazione del capitale a lungo termine....
La nostra rete proprietaria ci dà accesso a opportunità di investimento fuori mercato, in particolare le società private che desiderano espandersi o uscire parzialmente. Non siamo neanche solo partner passivi. Cerchiamo di coinvestire con partner di...
Il nostro ineguagliabile accesso alle basi dati ee la nostra attenzione all'innovazione ci consentono di sviluppare strategie quantitative basate sull'intelligenza artificiale e creare valore per i nostri clienti....