About Us
Client portfolio management
Tailor-made strategies and reports
Proprietary software technology
Global consolidation of clients' wealth
We provide tailor-made strategies relevant for specific needs.
Monaco Asset Management manages each portfolio conditional upon a unique strategy previously defined with the client concerned, according to their risk profile and other requirements.
The portfolio management procedures we follow includes sophisticated risk management techniques.
Macroeconomic forecasts, volatility management and capital preservation form the backbone of our portfolio management methodology.
Our own in-house software modernises our ability to deliver customized reports.
Our output is enhanced by the ownership of a proprietary software technology producing tailor-made weekly or monthly reports offered to our clients in different formats.
We provide our clients with versatile services.
We also consolidate portfolios deposited by our clients in many custodian banks, which provides them with a global vision of their wealth, the asset allocation and performance.
