Securities

our strategy

Our asset allocation has proven itself in the past. The bond portfolios have demonstrated resilience and have weathered recent economic crises. We ensure resilience to high volatilities through the careful selection and diversification of our securities investments. “Don’t put all eggs in one basket.”

Our investment philosophy on the capital market is based on the strategy of our founders: We position ourselves conservatively in our investment decisions while still responding flexibly to global challenges.

The succeeding generations in our Family Office are increasingly focusing on the following criteria: sustainability, ESG features (Environment, Social, Governance) as well as Digital Assets.

»I can calculate the movements of stars, but not the madness of men.«

Isaac Newton