Multi-Asset Strategies

At Aichi BMO International we feel responsible for every of our clients. If you decide to let us manage your wealth, you can be sure your money is in safe hands. Our team specializing in multi asset strategies has wide experience in this area ranging over 13 years.

Our Multi-Asset Strategies group offers investment systems that are aimed at generating profits via alpha generating strategies and asset allocation throughout global equities, fixed income, forex, commodities and alternative investment sectors.

By implementing proper diversification methods over a large selection of asset classes, the clients can increase their chances for higher profits in the long-term.

We want to make sure all of our clients get what they need, and we come with a list of different approaches:

  • Customer-oriented
  • Stable
  • Growth-oriented
  • Income
  • Open potential return

We apply both standard and innovative measures in order to come up with a complex approach. We don’t want to miss anything. This is why our methodology may be multi-lateral and we pay special attention to risk management which forms the basis in all of our investment decisions and financial activities.

Long-term valuation analysis
Sometimes markets are unproductive, which may cause the undervaluation or overvaluation of the assets. We always try to manipulate these issues on a regular basis by applying long-term valuation analysis.

Valuation plus catalyst procedure
On many occasions, there are other causes besides valuation than may have an impact on asset prices for continued periods. Thus, we will conduct research in order to find out why an asset is over- or undervalued and we will determine a precise catalyst for ending the mispricing.