Fundamental risk analysis
The essence of Schwarz Gehard's approach is to use accurate information in order to achieve consistent results within an environment of manageable risk. Ultimately, a sound investment decision is the result of correctly interpreting accurate data; there is no place for gut feeling when it comes to investing on behalf of our clients. The process of sourcing, verifying, compiling, quantifying and presenting market data on a daily basis is a great undertaking; it is impossible to do alone and requires a magnitiude of resources and experience to master successfully.
Successful results are the product of a disciplined interpretation of quality information. This may sound overly simplistic, however in a complicated global marketplace where performance is the main measure of success; we at Schwarz Gehard stand by it. We stand by the quality of our research, and we stand by the performance of our investments.
Fund management to meet the dynamic needs of retail investors and institutional clients.
Alternatives as part of a diverfied portfolio helps to control the effects of market volatility.