The multi-asset approach to investments is the process of positioning a portfolio in a favorable manner of gaining valuable international exposure to a diversified blend of assets and investment styles, combining conventional securities with unconventional strategies.
The advantage of multi-asset investing is a dynamically managed investment portfolio that seeks to profit from the most appealing mix of globally diversified opportunities with a steady risk vs. reward profile and lower levels of volatility.
William Paulstern’s multi-asset strategy is the best option for equity allocations whose aims are improved risk adjusted returns and likewise for clients in search of efficient strategic allocations in specific markets.
Heritage. Since its inception, William Paulstern has provided equity solutions to an extensive range of institutional investors ranging from corporate and public retirement plans to endowments.
Dilligent risk control. We employ a company-wide approach with a common channel of communication in order to uncover, monitor and reduce factors that determine risks.
Wealth of information. William Paulstern’s in-house market analysts and portfolio managers engage in cross-disciplinary dialogue between various teams of asset specialists to ensure that our equity strategies are leveraged to their maximum value-generating potential.
This strategy allows us to generate value by enabling us to perform in a competitive, yet professional and transparent way.