FERIQUE Fund Management aims to build funds with an optimal structure to decrease volatility risk and generate stable returns over time.
Most Funds benefit from a multi-manager approach that consists in diversifying risk by combining portfolio management firms with complementary styles. Moreover, through its rigorous processes, FERIQUE Fund Management selects renowned institutional managers and monitors them closely, with a special focus on risk management.
Responsible investment is an integral part of FERIQUE Funds’ business practices. This approach represents an additional way ofmanaging mid- and long-term investment risk by encouraging businesses in which they invest to improve their extra-financial risk management.
This responsible approach to investing is not only beneficial for you, but also enables you to contribute to promoting the best practices with regard to the environment, social responsibility and corporate governance.