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The LCF Rothschild Group investment approach
Edmond de Rothschild Asset Management’s approach is essentially bottom-up,
that is, we select securities rather than markets.
By being extremely selective in our screening of companies, we are confident
that our choice will outperform the indices in the long run.
The portfolio managers focus on the fundamentals of each individual company
and carry out full analysis, including meeting the company management, before
making a decision to invest.
For all asset classes, our investment philosophy gives the manager latitude
for decision-making. This includes strong emphasis on performance and risk control,
in relation to the client’s goals.
At Edmond de Rothschild, adding or cutting a position in the portfolio is a long-term
investment choice, and the quality of the issuing company is paramount, whether
for equities, convertible
or corporate bonds.
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