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Selection of Individual Securities
REYL (SWITZERLAND)
>Overview
>Nature and Values
>Products and Services
>Organisation
>Team
>Regulated Status
MANAGEMENT
Portfolio Management
>Vision and Key Principles
>Portfolio Management Methodology
Individual Securities Selection
>Equities
>Bonds
>Alternative Investments
REYL Private Office
Reyl Funds
>Directional Funds
>Alternative Funds
>Performances
>How to subscribe?
Bonds
REYL & CIE
manages its clients bonds exposure using a methodology allowing for an optimal diversification.
Optimal diversification of:
Durations
Issuers
Regions and Sectors
Agency Ratings
The allocation process relies on
REYL & CIE
s macro-economic analyses and focuses on the following investment parameters:
Yield Risk
Duration
Yield Curve
Volatility
Currency Risk
vs Currency of Reference
Credit Risk
Sector
Geography
Agency Rating
Offering Terms
A diversified range of fixed and variable income securities.
© REYL & CIE S.A.
www.reyl.ch
info@reyl.ch
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