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Asset Management is the Company's core business.
NetFin offers its clients a customized investment service designed both to preserve capital and to produce superior
returns over the longer term. |
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- Portfolios are entirely personalised to reflect
clients preferences (reference currency, return target, degree of risk tolerance, time horizon, tax consequences,
needs for liquidity, portfolio collateral value, etc.).
- Access to performing investments strategies.
- Real time portfolio monitoring.
- Tailor-made reporting.
- Management fees : as a pro-mille rate of the
wealth under management and / or linked to the performance.
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- Portfolio and performance analysis.
- On-shore and off-shore mutual funds selection.
- Management of funds for third parties.
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NetFin believes that the best results can be achieved
by efficiently diversifying investor assets among investment opportunities with exceptional potential. These need
to be identified before they become generally recognized and their returns decline.
The investment process is threefold. First, a global and top down approach is used to select the best investment
opportunities both in core markets (the United States, Europe and Japan) and in emerging markets (Latin America,
Eastern Europe and South East Asia).
Then, NetFin chooses to invest either directly or through specialized mutual funds. To that end, the Company has
built up a unique and extensive network of outstanding fund managers. Many of these are not known or accessible
to the general public. They include traditional equity and fixed income investors and specialists in hedging, arbitrage,
and corporate reorganizations among others.
Finally, NetFin determines the optimal portfolio in the light of clients preferences and anticipated political
and economical developments. Portfolio allocations are regularly reviewed and performances monitored on a daily
basis. |
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