A well-designed and well-executed investment strategy is the foundation of long-term returns. Investment opportunities change constantly. Our methodology for analysing them does not.
At Altex, our work consists of measuring and managing risk in order to turn it into superior returns for our investors. We do this through a strategy based on analysis, discipline and data.
We apply talent, dedication and continuous research to achieve this transformation with a high degree of reliability. Each strategy is the result of a rigorous process of analysis, design, implementation and testing across a range of economic scenarios.
With this philosophy and a constant reading of the market, we identify the best investments for each of our funds.
Our methodology, step by step
1
Market Analysis
We select the most profitable long-term assets and identify the best opportunities in developed global markets
2
Strategy Design
We analyse the trends and characteristics of assets to build a solid investment strategy, adapted to the environment, that achieves above-average risk-adjusted returns.
3
Portfolio Construction
We combine quantitative and qualitative analysis to make objective decisions and minimise the influence of emotional bias in the investment process.
4
Dynamic Hedging
We apply protection strategies to reduce drawdowns during market crises and maximise long-term portfolio returns.