Our Philosophy

Our main objective is to seek absolute return in all market conditions (bull or bear markets) and in different asset classes (equity, bonds, alternative investments, currencies, commodities).
Managing risk is an integral part of our philosophy. We provide a diversified choice of programs that range from purely defensive protection to active management, in the various assets.
We try to build performance with a medium term (three year) horizon. We evaluate investment results adjusting for levels of risk and possible leverage.
We look for transparency in the different characteristics of investments.
We are strongly committed to a tailor-made service. We adapt to individual clients’ needs and specific risk return policies.
We believe that currency values significantly impact investment results, especially with a three to five year perspective. We consider it a separate asset class that should be actively managed.

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