It is all about the mix of assets
All our investment advice are based on a solid theoretical foundation, combined with years of experience.
Your view on risk and return determines your portfolio’s strategic asset allocation, which means the mix of bonds, stocks, alternative investments, cash and other types of assets.
Each asset has different levels of return and risk, and will behave differently in various market conditions. A mixture of asset classes in your investment portfolio helps to reduce the overall risk of the portfolio and to provide more stable returns. We seek to reach the highest return at the lowest risk. It is about taking risk to get returns, but not to take unnecessary risks.