Asset Management

Our portfolio management strategies and asset allocation are defined based on in depth analyses of the economic, politic and monetarist situation of the markets and their forecasts, then implemented according to your financial objectives.

Our independence is a guarantee of products and solutions without conflicts of interests, thanks to the open architecture of our network, a selection of partners of choice and rigorous ethic principles.

Our flexibility insures quick decisions, taken locally, enabling more efficient strategic and tactical changes, quickly adapted to the evolution of global markets.

Our neutrality is the promise of a choice of banking and financial partners that suits you best.

Partenaires financiers

logo-ubs logo-credit-suisse logo-julius
logo-lombard logo-bcv logo-bcvs

DP Finance et Gestion SA est membre de l’ASG