Aspect Financials Services
More than 80 years of experience in managing investments.
Backed by all of the resources this scale of expertise can offer, our fund managers are free to develop their own individual investment strategies and act on their convictions. Our investment philosophy is based on our belief that markets are routinely driven away from fair value by such factors as greed, panic, investing restrictions and forced selling. As a result, a patient investor with a good understanding of fundamental value can take advantage of these situations to acquire assets when they are cheap and avoid those that appear over-priced. We believe that assets tend to move toward fair value over the medium term as the impact of short-term technical factors recedes.
A diversified approach to risk taking
How do we mitigate against potential defaults? We attempt to do so through detailed credit analysis, diversification and strong risk management. In addition, we have a dedicated team of restructuring specialists who can step in when a security becomes distressed.
Our ability to understand an investor’s need to achieve the right balance between risk and reward when managing their portfolio is key to our business.
Most importantly, we do not take on risk unless we believe we will be adequately compensated for doing so.
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Globally diversified, regularly rebalanced
A globally diversified portfolio that’s regularly rebalanced could boost your returns while spreading your risk. We don’t chase hot stocks or market fads. Instead, we’ll choose sensible strategies suited for the long term.