By adopting an asset management strategy based on an open architecture, the Banque Pasche group is able to offer the best possible performance. Its asset management teams search all financial markets to find the best fund managers and the best investment funds, regardless of whether they are developed by the bank or not. In addition to offering its own excellent investment products, Banque Pasche also works with a wide range of other external financial solutions.
In this way, Banque Pasche places the attainment of performance on behalf of its clients at the very heart of its own interests and shows that it is active in avoiding any conflicts of interest. The fund managers and investment advisors are also given the independence necessary to optimize each and every management profile.
Their carefully refined analysis of current financial trends means they are able to identify the best fund managers and invest in their funds. The selection criteria uses to decide whether to work with an asset management company are based on a quantitative approach, on the one hand, and on a qualitative assessment, on the other, which looks at the company's reputation, the amount of managed assets and the stability of the company's staff.