ARIAD Asset Management GmbH, Hamburg

Why ARIAD?

• By strictly adhering to our systematic investment strategies, we offer risk/return profiles with lower volatility compared to other asset managers.

• Efficient deployment of information is a key in today’s information society. Our strategies work exclusively with timingbased parameters because most fundamental data is generally not available fast enough to be useful in an active investment approach.

• Optimal diversification, another core driver for optimising risk/return investments, has been one of our goals ever since. It distinguishes us from our competitors. We apply our own topdown methodology.

• We exploit a variety of market phases as opposed to simply following trends. Our long-time track record reflects the success of our work.

• Keeping expectations on a realistic level is crucial. Many managers can boast impressive historical performance data – for specific period of time. However, only very few can actually match these expectations persistently.

• Nothing is more convincing than success. We offer a real track record.

ARIAD Asset Management GmbH, Hamburg
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