Presentation

SEVEN Capital Management is a new actor in the diversified fund management sector. Its objective is to respond to current investors needs through the application of innovative techniques, SEVEN Capital Management offers comprehensive asset management solutions accessible to a broad range of investors.

SEVEN Capital Management's key targets :

  • Risk control.
  • Steadiness of performance.
  • Reactivity to market fluctuations.

The rapid growth of the capital markets (financial, commodities, real estate, etc.) during the 1990's, linked to abundant liquidity, globalization and technical progress, led to a boom in more specialized and targeted financial products. The global reach of these specialized financial products permits the generation of additional performance. However, the use of these new products coupled with traditional assets requires advanced analysis techniques and strong risk management.

  • SEVEN Capital Management's specificity is "asset allocation" through a significant diversification of products in all permitted assets classes.
  • The funds are encompassed within a controlled legal environment, regulated by the financial markets authority (AMF).
  • SEVEN Capital Management has a global approach to portfolio management encompassing the entire scope of assets classes. Thus, investors can find through our range of tailor-made products answers to their asset management needs.
  • Sophisticated and innovative technologies add significant value to our products. SEVEN Capital Management applies its technologies to dynamic asset allocation while optimizing risk control, reactivity and performance.

The combined expertise in alternative and traditional asset management enables us to create a new approach to diversified asset management. SEVEN Capital Management manages and allocates its funds in complete independence.