We use a thematic, actively managed and diversified strategy that is unconstrained and asset class agnostic.
Our top down macro-economic approach to investing combined with classical bottom-up research, identifies attractive opportunities in equities, bonds, commodities and currencies. Being flexible in allocating assets to the most promising asset classes, we achieved strong returns over almost a decade in various market environments.
Regular interaction between our asset class specialists allows us to identify and invest in best risk-reward situations for the benefit of our clients.
For further information on our products, consult the documents using the links below and contact us on e-mail email@example.com.
Multi Asset Strategy Fund