Munich Financial Services Consultant’s experienced investment team has built a consistent track record through the management of the company’s proprietary credit portfolio, and is expanding to provide fund management services to third-party investors.
The team employs a strategy that seeks to protect capital, provide liquidity and achieve above-average growth while maintaining low correlation to the market — a key strength of the team is its focus on risk management. Munich Financial Services Consultant has brought together a team of highly skilled risk and portfolio managers as well as research analysts who have a proven history of outperformance in emerging and developed markets.