Strategy Description: A combination of "top down" and "bottom up" analysis. The "top down" process is based on factors such as economic fundamentals and market sentiment (optimism or pessimism of investors as a whole) and produces results such as asset allocation and sector weights. Based on this analysis, the manager will focus the investment on ten areas. The "bottom up" process is focused on the analysis of credit and balance sheets as well as meetings with company management and is applied to every transaction before it is considered an investment.
Investment Target: The fund adopts a strategy that aims at achieving long-term capital growth. The sub-fund may take exposure to equities and bonds and use derivatives for hedging and speculative purposes.
LONDON 60 Cannon Street
+44 20 4540 5182
MILANO Via G.B. Pergolesi, 2
+39 02 6269 5038
ROMA Via Calabria, 56
+39 06 4576 3550
VERONA Via Fiumicello, 23
+39 045 6575593
LONDON 60 Cannon Street | +44 20 4540 5182
MILANO Via G.B. Pergolesi, 2 | +39 02 6269 5038
ROMA Via Calabria, 56 | +39 06 4576 3550
VERONA Via Fiumicello, 23 | +39 045 6575593
LONDON 60 Cannon Street | +44 20 4540 5182
MILANO Via G.B. Pergolesi, 2 | +39 02 6269 5038 // ROMA Via Calabria, 56 | +39 06 4576 3550 // VERONA Via Fiumicello, 23 | +39 045 6575593
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Olympia Wealth Management is regulated by the Financial Conduct Authority of the United Kingdom (FCA), authorized to operate in Italy as a non UE community investment company with a branch, registered in the Consob Register.
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