Bryan Garnier Opportunités Fund is invested in European equities (medium and large caps). The portfolio is covered by selling indices. This fund is collegially managed inside Bryan Garnier Asset Management.

Bryan Garnier Opportunities invests in different European countries. To succeed in this dynamic and competitive segment, managers rely on the internal research offered by Bryan Garnier & Co over 120 companies. Managers follow a rigorous process selection including risk analysis, hedging positions and taking into account market limits. European companies with more than 5 billion capitalization represent traditionally over 42% of the portfolio. Te Portfolio may be invested up to 100%.

Bryan Garnier Opportunities stands out in 2012 with a good performance: the NAV increased by 14.72%. Classified as 'Mixed Euro Aggressive' (Morning Star rankings), this fund is atypical: not a lot of mutual funds are both PEA (French SSP, Stock Savings Plan) and Mixed Aggressive. BGO is ranked seventh in its category 'Mixed Euro Aggressive’: more than being only original, our fund is as well efficient. Finally the fund may hedge in times of intense volatility using innovative methods, such as the multifractal model and behavioral finance.

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Bryan, Garnier Asset Management S.A. is regulated by the "Autorité des Marchés Financiers" (AMF)
Bryan, Garnier Asset Management Ltd is regulated by the Financial Services Authority (FSA)
Bryan, Garnier (Suisse) S.A. is a member of the VSV-ASG-SAAM (Swiss Association of Asset Managers)
Bryan, Garnier Asset Management is a member of the "Association Française de la Gestion Financière" (AFG-ASFFI)
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