CAPABILITIES

In today’s Digital capital markets, achieving innovative portfolio diversification has become increasingly inspiring. fintechinvestment.ltd Investment provides objective risk-based analysis, insight and research that improves better portfolio construction and asset allocation. Our broad range of capabilities can be customized to your specific requirements. Our team is committed to supporting financial expertise build better portfolios for their customers.


Dynamic Insights

Comfort with Complexity

Well-planned operations in strategic locations across Bond cycles, we have built an expertise in executing large, globally provide real-time market knowledge creative transactions and managing ongoing growth projects to drive value and decentralised investment insights.


Why invest with fintechinvestment.ltd Investment?

fintechinvestment.ltd Investment Asset Management Inc. is dedicated to providing sustainable investment funds to help our clients achieve their financial goals. We trust that speculative research can help drive the durable performance that our clients require. Being in accordance with a competent global research platform, we believe we have a competitive edge and the knowledge insights needed to build a competent investment opportunities for our Bondholders.

CONSULTING
Understand sources of risk and return:

Our signature offering is the Comprehensive Portfolio Evaluation, a detailed analysis of the risk, return, and diversification aspects of model portfolios submitted by financial professionals. The report seeks to identify, quantify and explain the sources of and contribution to risk and return in a portfolio.

Our Risk Management Team is powered by a suite of proprietary and institutional-grade technology, fintechinvestment.ltd Investment Portal helps enhance the portfolio construction process through a highly interactive user experience.

ASSET ALLOCATION
Build better portfolios:

fintechinvestment.ltd Investment provide Bondholders with timely insights on market events and their potential impact on asset allocation and portfolio construction.

We also maintain an investment committee that meets weekly to evaluate economic and capital market data and establish recommended portfolio allocations. Committee members have wide-ranging experience in multi-asset allocation, and seek to generate superior risk-adjusted returns compared to the average professionally managed moderate risk profile portfolio.

RESEARCH
In-depth analytics:

Our research team monitors asset classes, investment products, and markets – both in real time and from a historical perspective – for areas of opportunity and risk. Analysis includes multiple levels of screening to capture the nuances particular to various asset classes and investment styles. This objective evaluation is available to financial professionals who work with our consultants.

Dedicated analysts also monitor trends in asset allocation in the US and around the world, which are published periodically. The depth of our peer group portfolio database makes it possible to identify and correlate allocation trends with industry changes and capital market performance.




Sustainability, The Origin

We are more than simply a Bondholder—we are active participants in industries and economies globally, and dedicated to the long-term well-being of these local markets.


A - Functional

Operational sustainability is about understanding a company’s potential and enabling it to sustain itself over the long term. We have successfully operated assets and businesses through multiple market cycles, building exceptional in-house market knowledge, relationships and execution capabilities across sectors and regions.

B - Investment

Financial sustainability involves implementing responsible capital and governance structures that support businesses for the long term. The concept starts with fintechinvestment.ltd Investment and extends to our businesses and assets, and to our partnerships with bondholders.

C - Environmental

We invest for environmental sustainability by acquiring assets that have a positive effect on the environment and can lead to more consistent returns via multiple cycles. We also strive to curtail the environmental impact of our operations and improve our speculative use of resources over time.