By Didier SAINT-GEORGES - Head of Portfolio Advisors, Managing Director and Member of the Strategic Investment Committee.
Author - Carmignac
Carmignac, almost 30 years of independence and conviction.
We pursue conviction-based management, decorrelated from market indices. This approach gives us maximum flexibility in our investment decisions. Our ability to vary actively our exposure to asset classes within our investment strategies is key for long-term capital appreciation. We create and manage portfolios that are true to our conviction and the distinct view that we have of the market.
We practice active management aiming at generating attractive yields under any and all market conditions. Our flexible investment style combined with a dynamic attitude to risk enables us to navigate turbulent times.
We are Risk Managers and that expertise is run across our 17 investment strategies.
In the first half of 2019, financial market trends were shaped by return to a balance of sorts between the prospect of slowing world economy and the...
From our current vantage point halfway through 2019, we still see no valid reason to alter our basic view of financial markets: there is a rough...
by Didier SAINT-GEORGES - Managing Director and Member of the Investment Committee
By Didier SAINT-GEORGES - Head of Portfolio Advisors
Despite the challenges that Europe is currently facing, we believe that there are attractive long-term investment opportunities to seize, notably on...
By Didier SAINT-GEORGES - Managing Director and Member of the Investment Committee