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The goal of Vontobel's asset management is to generate added value for our clients.
We work on the premise that information is very quickly priced into the prices of financial instruments, which raises clients' expectations of asset management
institutions' forecasting abilities. In this respect, the efficiency of capital markets has increased considerably in recent years. However, more recent research on financial
markets reveals that the market does not correctly value all financial instruments at all times. Thanks to our investment in processes and financial know-how, we are in a position
to exploit these financial market inefficiencies to generate added value. Skillful alpha and beta management enables us to optimize portfolio structures, thereby improving our
risk-return ratio.
Our expertise as an active Swiss asset manager was confirmed by Edhec, a rating agency, which named Vontobel the best Swiss asset manager in 2006 for returns over three
years.
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