VISHON's systematic risk management process ensures awareness and suitability of all risk exposures. We focus on liquidity, volatility, correlation and asset-liability risks, with independent cross-verification of external advisors.
Our strategies focus on the appropriateness of each solution for the client's situation. Effective management can be achieved without unnecessary complexity. When a specific strategy requires more sophisticated products we carefully assess the relative benefits vs. costs.
Our client comes first; to achieve our mission we focus on attention to details, constant monitoring, risk sharing, with personal and professional commitment.
VISHON's core philosophy is based on a comprehensive and integrated investment approach matching our client's assets with their goals. Investment decisions are primarily based on the following variables:
- Corporate risk exposure, focusing on explicit and hidden risks
- Cost efficiency, minimizing transactions and management fees
- Effective hedging, constructing portfolios embedding insurance
- Cross asset diversification, combining real and financial assets
Active entrepreneurs tend to have several professional relationships, service institutions, accounts, tax entities and potentially complex investments. VISHON's primary task is to streamline the investment process to empower our client to control, gain access and reap the benefits of their assets.
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