Investment Philosophy

 

“Our goal is to derive the best possible return from a portfolio diversified between Mauritian and international equities”

A disciplined investment philosophy with rigorous risk management enables us to deliver sustainable, consistent and risk-adjusted results to clients. As a practice, all options are evaluated on the basis of risk-adjusted returns, along with other relevant parameters. Most of our investments across asset classes are relatively less volatile.

News and Market Insights

ETAT DE SITUATION 20 MARS 2020

ETAT DE SITUATION 20 MARS 2020

ETAT DE SITUATION 20 MARS 2020 Stephane Henry20 Mars 2020      WRITTEN ARTICLE AVAILABLE IN FRENCH AND ENGLISH 1 : L’aspect médical Nous sommes le vendredi 20 mars 2020, premier jour de confinement. Il nous semble essentiel de pouvoir...