Diversification implemented decisively
Our aim is for our clients to derive above-average profits from capital market opportunities – with moderate risk tolerance and a long-term investment horizon.
Multi-asset strategies are noted for being highly flexible and can respond continuously to specific market situations. With our modern asset management strategies we go well beyond a simple, static mix of bonds and equities, making flexible use of other asset classes to achieve an optimised balance between risks and returns.
Our multi-asset management approach
Holistic thinking
- Acknowledged capital market expertise of our portfolio managers and investment strategists
- Pooling the expertise of Berenberg’s economists, investment strategists and asset class specialists
- Sustainability as a core element when selecting individual securities
Active Allocation
- Dynamic management of asset allocation and successful securities selection
- Strategic long-term investments combined with tactical finesse to exploit market opportunities
- Broad diversification across asset classes, segments and regions
Investments not restricted to benchmarks, also for specific topics
Clear actions
- Structured investment process with investment committee and asset allocation committee
- Logical investment decisions underpinned by sound analytics
- Transparent, timely communications
As an active manager we have well-founded opinions about capital markets, which we put into practice by taking clear decisions – sometimes also counter-cyclically and by departing from benchmarks.
Prof. Dr. Bernd Meyer, Chief Investment Strategist and Head of Multi Asset
Our strategic focus areas
Our broad range of strategies will offer you the right investment solution and many ways of putting it into practice: Professional asset management with numerous strategies, tailor-made institutional funds and managed accounts, as well as funds for private investors.
Your contact
Isabell Silverio
Isabell Silverio has been working in the Berenberg Multi Asset Product Specialist team since January 2022. In this role, she is the first point of contact for product and client specific questions on all Multi Asset and Fixed Income strategies. After her BSc in Business Administration, she gained investment banking experience in M&A and Private Equity before completing her Master of Science in Finance at Frankfurt School of Finance & Management with merit. Isabell Silverio joined Berenberg Bank in October 2020 as part of the Wealth & Asset Management Graduate Program in London.
Important notice: Investing involves risk. The value of investments and the income derived therefrom may fall as well as rise and investors may get back less than the amount invested. Past performance is not an indicator of future returns.