Quality meets continuity
The continuous development of an investment demands a consistent investment strategy. We have a team of proven investment experts with many years’ experience in both the financial sector and asset management. Based on an independent and team-oriented approach, our portfolio managers always take investment decisions jointly.
Independent. Responsible. Transparent.
Working in close cooperation, our Portfolio Management team decides on the combination and weighting of the individual asset classes and invests strategically in promising assets – always in the best interests of investors. Based on continuously updated market forecasts, we can take steps to ensure that the respective economic cycle, monetary and fiscal policy, growth dynamics and the political environment are taken into account.
This enables us to maintain an independent, consistent and verifiable investment policy over many years, in which transparency and openness to investors have top priority.
What sets us apart
The investment philosophy of our funds
Our conservative funds
Capital preservation and achieving stable returns over the long term are key components of the investment philosophy of the Ethna Funds. So in every investment decision that we make, we take all potential risks into account. With this risk-conscious and loss-minimisation investment approach, we offer stability and minimisation of volatility.
Our global macro fund
Achieving an absolute increase in value, along with flexible and active management of the multi-asset portfolio, are essential components of the investment philosophy of our global macro fund. With this flexible investment approach, the fund offers attractive opportunities for return with volatility that is similar to that of the equity markets.