How do we support you with asset management
You decide which part of your assets and which management responsibilites you outsource to us. Together we conclude on the right approach. Specialized fund managers, the relevant investment strategies and the decision which custodian bank to use.
Multi strategy
We are using all asset classes in oder to establish the optimal allocation within your portfolio. Through extensive scenario analyses we provide you with insight into the risks of the relevant portfolios. Research and experience prove that the diversification over asset classes is a determing factor for long term performance.
Multi manager
No single financial institution employs the best investment managers in all areas of the investments universe. Within our investment policy we therefore only invest directly or indirectly in funds of the best external managers and index funds.
Risk management
We manage risk both on portfolio level and on the level of the underlying investment funds we invest in.
Portfolio mandates
- Investment objective and risk analysis
- Monotoring downside risk (ex-ante, before portfolio changes and ex-post) through dynamic risk management
- Specific restrictions are monitored within our portfolio management system
- Rebalancing
- Factor analyses, preventing unwarranted concentration
- Monitoring and managing of the tracking error
Investment funds
- Monitoring o.a. performance risk, style drift, active share, concentration, liquidity and leverage
- ESG review whether underlying investments are in compliance with defined criteria
Responsible investing
Providence Capital recognizes the importance of the transition to a more sustainable economy and the role investors can play in this.
More information can be found underĀ ESG Policy.
We support you with your asset management
We are your leading contact for asset management and strategic investing.
Wouter
Weijand
Chief investment Officer
Andries
Nieuwland
Partner
Robbert-Jan Gelissen
Partner