• A dynamic allocation of assets
  • Management by conviction and independent of the indexes
  • Hedging strategies when a drop of markets is expected
  • Only assets that we understand and have valued

A rigorous investment process:
1. Overall and detailed macroeconomic analysis to decide on the allocation of the assets. No investment-grid constraints

2. In-depth and conservative valuation according to our proprietary models and monitoring over several years, including direct and regular contacts with the companies in which we invest

3. Technical analysis to define the most opportune time to invest or to hedge, in order to optimise returns

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Copyright 2011 | Vernes & Associés S.A. | avenue Jules-Crosnier, 6 - 1206 Geneva, Switzerland | Phone +41 22 789 28 89 | info@vernes.chFR | EN | РУ