Asset Management
By Arion Capital

Asset Management By Arion Capital

Permanent pressure to beat the benchmark motivates asset managers to exaggerate potential profits over losses.

Our value proposition is transparency and risk control. We know that any investment has its downside, and we face it.

We regularly generate new trading ideas, transparently explaining their underlying structure, risks and benefits to our valued investors. Hereby, we leverage on our trading infrastructure, embedded processes and trading systems to achieve constant and predictable performance results.

In today’s challenging environment, new investment approaches are needed

Today, investors face greater challenges than ever. At Arion, we pursue new ways of thinking, enabling us to provide our clients with innovative investment approaches. Based on long-term experience with large Swiss institutional investors, our clients benefit from tailor-made and holistic solutions, developed in personal dialogue and designed to truly fit each client’s needs.

Innovative investment solutions developed in the heart of Europe

Our main focus lays on steady return generation and capital protection across different market environments. We offer a broad range of investment strategies. Rooted in the heart of Europe, we serve both private and institutional investors across the globe.

Our value proposition is based on four pillars

  • Steady Return Generation

    By focusing on steady return generation across different market environments, we provide additional sources of income to our investors.

  • Capital Protection

    Arion Asset Management Solutions are designed to preserve wealth over generations by minimizing potential risks.

  • High Accessibility

    Arion has a focus on liquid investments. Therefore, your assets are easy accessible, whenever you need them.

  • Innovation

    In a constantly changing environment, the status quo must be challenged. Our clients benefit from cutting-edge investment innovations.

Steady return generation and capital protection

Arion’s investment strategies build on investment approaches, which are well established with large Swiss institutional investors. Hence, our clients benefit from long-term experience in the context of tailor-made and holistic solutions, developed in personal dialogue and designed to truly fit each client’s needs.

Income Defensive

Defensive liquid alternative highly suitable as a core investment

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Swiss Real Estate Debt

Regular, stable and to the capital markets uncorrelated returns in CHF

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Tech Triple X

Systematic performance boost offering over-proportional participation in the US tech market

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Tailor-Made Investment Mandates

Covering different investment goals reaching from capital protection to capital growth

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Income Defensive

For investors who want to invest their assets in a capital-preserving way, the investment approach Arion Income Defensive offers a liquid alternative well suited as a core investment to replace cash and bonds.

Key Facts:
  • Suitable for investors with a pronounced need for security who want to invest their assets in a capital-preserving way
  • Steady income in an environment of negative interest rates
  • Return expectations moderately above the yield offered on capital markets
  • Suggested investment horizon: At least 2 years

Concept of the Strategy Arion Income Defensive

Equity markets still have potential to generate returns. Over the long run the mean expected return of equities of the developed markets is approximately 6% p.a. However, the downside risks are considerable. The strategy builds on investment approaches, which are well established with large Swiss institutional investors. Capital growth is achieved by an option overlay allowing the participation in a
broadly diversified equity basket within a corridor. By regularly rolling the corridor, the positive long-term premium of equities can be harvested.

Swiss Real Estate Debt

The investment approach Arion Swiss Real Estate Debt is an alternative to traditional real estate investments and an uncorrelated portfolio diversifier

Key Facts:

  • Broadly diversified Swiss Real Estate exposure via a subordinated loan portfolio (main focus: residential real estate)
  • 100% secured by Swiss real estate (real estate serves as security for the loans)
  • Maximum diversification of the loan portfolio through the use of intelligent software
  • Expected return of > 4% p.a. in Swiss francs after costs and fees

Tech Triple X

For investors who search a broad exposure to US Tech stocks, the investment approach Arion Tech Triple X offers a performance boost in combination with a systematic downside protection mechanism.

Key Facts:

  • Arion Tech Triple X offers over-proportional exposure to attractive US tech equities
  • Thereby it becomes possible to participate heavily in the latest technologies and innovations
  • At the same time, the risks for substantial losses are reduced to the limit of conventional equity investments
  • Suggested investment horizon: 7+ years.

Concept of the strategy Arion Tech Triple X

Arion Tech Triple X offers a performance boost on technology stocks in combination with a systematic downside protection mechanism.

Tailor-Made Investment Mandates for the Individual Needs of Each Investor

We offer investment solutions to both private investors as well as institutional investors such as pension funds, foundations, companies and other institutions of all sizes. Based on many years of experience with major Swiss institutional investors, we focus on the individual needs of each specific client and offer tailor-made solutions. Thereby, we provide both systematic and discretionary investment approaches as well as combinations thereof. All investment mandates can draw on our expert judgement and house view, based on fundamental analysis and state-of-the-art macroeconomic projections.

Opportunistic Investment Approach

For investors with higher risk tolerance and/or longer investment horizons, opportunistic investment approaches offer increased return potential. The primary investment objective is capital growth. Typically, opportunistic investment approaches mainly rely on equities, commodities, real estate, and other alternative asset classes.

Defensive Investment Approach

For investors with lower risk tolerance and/or shorter investment horizons, defensive investment approaches offer a regular source of income. The primary investment objective is capital protection. Historically, defensive investment approaches mainly relied on fixed income instruments. However, in an environment of negative interest rates, innovative solutions and alternative strategies are needed to ensure continued capital protection of the investment.

Asset Class Mandates

In addition to these mixed mandates, we also offer investment solutions on asset class levels. Based on in- depth expertise and years of experience in various asset classes, we offer customized solutions for your equity, bond, alternative or crypto quota.

Custodian Bank

As an independent provider of asset management solutions, we are not bound in our choice of custodian bank and work together with all established institutions. Upon request, we will support you in your choice of custodian bank and provide you with an overview of the conditions and services offered by the individual banks.

Track Records and Sample Portfolios

We would be happy to inform you about our track record in an individual offer and provide you with a sample portfolio on request.

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