The founding element of our investment philosophy rests on the principle of stable returns. In this endeavour, we are committed to selecting only a very restricted number of traditional and alternative financial products, which we monitor at all times.
As financial markets constantly tend towards globalization, information and knowledge are more important today than ever in order to confront the new challenges facing investors.
In this competitive environment, Quanta Finance maintains its position at the forefront of asset management by integrating active research and a meticulous selection process of financial products in the handling of its mandates.
We thus gather for our clients the best performing actors in their respective domains and put portfolios together on the basis of each individual client's particular profile. We believe that this approach is the most adequate to respond to the increasing complexity of international financial markets.
Thanks to the application of elaborate strategies developed by our specialists, we furthermore present our clientele with medium-term investment opportunities.
In order to further improve the quality of its management methodology, Quanta Finance had developed its own financial models, allowing for a constant monitoring of international markets. These models take into account more than 150 bonds and stocks indices as well as over 1500 individual shares.