Portfolio management
July 24 2013

Kairos employs instruments such as equities, bonds, multi-manager management schemes, Kairos funds and third-party funds in its portfolio management services.

Its management approach is characterized by extensive personalization achieved by identifying the client’s risk and return objectives.

Constant monitoring of the net equity exposure, with dynamic adjustments of the client’s global asset allocation according to market performance, underlies an active management approach.

Portfolio management