Over the long term, we seek to achieve returns above the market average and benchmarks by applying active management. We are long-term investors and do not pursue "trading" of the funds under management.
We follow a "Bottom - Up" approach and place particular emphasis on the fundamentals of the companies and issuers of the financial instruments in which we invest. Therefore, our investment strategies may deviate significantly from the relevant benchmarks, clearly aiming to achieve superior returns within a reasonable period of time.
We place great emphasis on our in house analysis, through quantitative data processing and the qualitative characteristics of the investments under consideration. We aim to manage clients' funds:
→ With integrity
→ Enhancing long-term returns
→ Understanding in depth the risks and opportunities