Our macro strategy consists of five asset classes: Rates, FX, Equities, Commodities and Credit with specialist portfolio managers dedicated to each market.
With a fundamental approach, guided by deep macro and microeconomic research, all allocations are the result of a detailed investment process. We always seek a high margin of return, over the medium or long-term, and a continuous assessment of the associated risks.
Reference Date 02/29/2024
This section of the website is only directed at and available to persons who:
If you click “Accept” you: confirm that you satisfy the above criteria; acknowledge and agree to the contents of this Important Notice; and warrant that you will not disclose any of the contents of this section of the website to third parties. Otherwise you must please click “Decline”.
This section of the website is intended to be accessed or used only by authorized persons that are qualified to receive information about the products and services discussed herein. It is not intended for general access or usage by persons resident in the United States. No offering of, or solicitation of any offer for, any investment products or services referred to in this section of the website is being made in the United States via this section of the website.