Just like the weather, financial markets are also characterized in part by abrupt changes.
Mastering how to use and interpret the right forecasting tools will guard you from being surprised by storms. You will know when you need to put on your warm and waterproof gear.
Dynamic asset management
Our core competence lies in the field of dynamic asset management in equities, bonds and cash. We systematically evaluate the investment environment as well as the resulting tactical opportunities and threats.
The objective of dynamic asset management is to benefit from the periodic “good weather” conditions in financial markets, and to timely avoid the “storms” by withdrawing from risky market environments. To date, we have been successful in weathering such storms, as confirmed by our performance and the corresponding awards we have won.