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CLASSIC PORTFOLIO MANAGEMENT
FOCUS PLUS
The Benchmark as a guide.
They allow to efficiently allocate capital thanks to the strong diversification of the portfolio – including for smaller investments. By providing the option to choose among several existing profiles…
FUND ALLOCATION
A portfolio of flexible and balanced strategies
They are characterised by a concentrated portfolio of funds with flexible, balanced, and absolute/total return strategies as well as a fund selection approach focused on highly specialised investment…
GP BALANCED RISK CONTROL
An innovative and unique absolute return portfolio in ETFs
Characterized by a flexible balanced portfolio in ETFs, the product line is based on a dynamic asset allocation approach characterized by a smooth …
GP TARGET ALLOCATION
A structured portfolio to represent the needs and goals of our clients
The strategies are designed to promote a financial planning approach based on strategic investment needs and targets, relegating market and management considerations to a strictly instrumental role…
GP MEGATREND PAC
A gradual entry to mitigate market volatility
By progressively entering the stock markets with a savings plan approach, the Megatrend Pac line guarantees both the mediation of purchase prices…