Our fund offers the possibility to invest globally through optimized multi-asset portfolios that are as diversified as possible in terms of uncorrelated components. In order to achieve this, we balance our portfolios along two axes: asset classes, equities, fixed income, currencies and commodities and investment strategies which are selected, among other things, on the basis of their level of correlation to each other and their robustness. Each component of the portfolio is defined by its position along this matrix and it is weighted by its risk and level of correlation to the rest of the portfolio so as to make the portfolio more stable and robust.
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Azimut Investment Management is a asset manager based in Singapore, Singapore, managing approximately $1.5B in assets.
Azimut Investment Management is headquartered in Singapore, Singapore.
Azimut Investment Management manages approximately $1.5B in assets under management.
Azimut Investment Management focuses on Venture Capital, Private Equity, Long-Term Investments, Investment Funds, Asset Disposition, Wealth & Estate Planning, Retirement Planning, Real Estate Services & Management.
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