undefined, Management of Optimal European Portfolio after the crisis,
undefined, Management of Optimal European Portfolio after the crisis,
undefined, Management of Optimal European Portfolio after the crisis, undefined, Management of Optimal European Portfolio after the crisis,

As a result of market turbulence, a large number of investors have been looking for safe haven investments. The Optimal European Portfolio aims to be adapted to new market conditions and requirements. Europe is selected as an area for investment given its sound economic potential. The advantages of the region are considered to be the innovative products, a dynamic corporate sector and high-quality exports. The dominant share of the financial instruments in the portfolio is selected from six countries... Mehr

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