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Finance› Asset management
We manage customized portfolios on behalf of private and institutional international clients who seek direct exposure to private markets assets.
Our goal is to provide a long-term capital growth and to deliver strong performance by a combination of investments in various asset classes.
Our main objective is to preserve and enhance a capital of our clients through appropriate financial planning and management of their investment portfolios.
Our Multi Asset Class Solution approach focuses on implementation of investment allocation strategies across diverse asset classes. It combines traditional investments, such as commodities and cash, and non-traditional investments, such as alternative investments, to meet our clients’ specific need.
We have an extensive experience in marketing, design, structuring and managing of structured products for alternative investments.
We have developed 3 innovative strategies based on broad product diversification and careful risk control:
Strategy |
Instruments |
Objective |
Volatility |
Conservative |
Capital protected products |
to preserve capital over time |
Low volatility |
Balanced |
Equity products, Private Equity Placement (securities/derivatives) |
to preserve capital /to generate capital growth |
Medium volatility |
Dynamic |
FX, Structured products |
to generate capital growth |
Significant volatility |
Risk identification and risk control is a key component of our investment activity. We use the most sophisticated technical analysis and research tools to make investment decisions. The technical and fundamental analysis provides us with a clear and focused view of market trends.
BTT specialists have a significant experience in elaborating tailored risk management strategies which help to assess and mitigate the risks of every particular transaction.
