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EARNINGS OBJECTIVES. For the individual client’s portfolio management Banca Zarattini & Co mostly uses investment funds: these are conceived and managed internally, which pursue the best possible returns with the least risk exposure, optimizing the diversification of the investments.
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Our clients have a choice of different investment products, each of which has been designed taking into account the following three factors:
the composition of the investment strategies: market neutral; Systematic trading; stocks; bonds
the combination of investment categories: hedge funds; total return stock funds; stocks; bonds
the analysis of the performance of the strategies used in each single fund.
Banca Zarattini & Co has created two different classes of products:
alternative products, which use non-correlated financial products, such as hedge funds
traditional products, which use only classic financial products, such as Sicav’s, stocks, and bonds.
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