Private banking - Imperative Wealth - investment strategy
Private banking - Imperative Wealth - investment strategy

What others do: passive management

AN OUTDATED INTERPRETATION OF THE MARKETS

Passive Management

Failing strategies in the face of new challenges

Passive Management
Private banking - down Market
Today’s investment strategies are based on academic theories that may have been tried and tested, but also demonstrated their limitations. A system of thought that is useful to review.

What we do: automated active management

LIMIT RISKS BY ADAPTING MORE QUICKLY

StrategyOur “active” management approach seeks to take advantage of all the opportunities offered by the markets to deliver a absolute performance. To achieve this, we have adopted a independent of stock market conditions by working both on the bullish than bearish values. Resolutely focused on management active we want to protect you from the ups and downs of the markets financial.
StrategyAutomated” management means that it is not a human that directly makes investment decisions for the benefit of a continuously trained robot. He applies the rules strictly, without of souls, neither fear nor greed. This approach is particularly interesting as it avoids, for example, hasty decisions linked to events than a human being, no matter how talented, risk of misinterpretation.
StrategyIf the process of identifying investment opportunities and portfolio risk control are fully automated, the execution of orders remains under the control and responsibility operators. We believe that human intervention contributes to the the overall security of the investment process, which is likely to reassure our future customers.

The five pillars of our strategy

Financial Trend Research

Long-term trend research and bearish, which makes it possible for all the difference

Financial Trend Research
Strategy
“The trend is your friend” is an old adage in the industry. market finance. The trends that express euphoria or depressed investors at any given time, are timeless and universal. We have made it the heart of our know-how and strategy.
Global Diversification

Global diversification as the basis of a robust portfolio

Global Diversification
Strategy
Diversification allows us to maximize profits, and to minimize risks. To achieve this, we have set up a systematic, automated observation system for uncorrelated global markets, i.e. with no geographical, business sector or asset class restrictions (equities, bonds, currencies, commodities).

One requirement: absolute performance

Absolute performance
Strategy
We are not satisfied with strategies that simply to replicate the markets. Absolute performance means being able to achieve profitable investments whatever the economic climate and regardless of market trends
Absolute performance
Robot Asset Manager

The robot, the guarantor of your performances

Robot Asset Manager
Strategy
A high degree of automation is required to detect global trends and generate performance absolute. Our industry-first robot enables us to implement our tactics of absolute performance, without emotion, and in strict compliance with the rules.
Money-risk Management

Be safe with our money/ risk management

Money-risk Management
Strategy

Once a trend is detected, the challenge is to minimize losses and maximize profits. The risk/money management algorithm is responsible for monitoring your investment and triggering the necessary actions to protect your money.

Strategy
Strategy

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