Banque Thaler is not a general bank, but one dedicated to portfolio management. Our job is to preserve your assets, generate growth while applying strict risk controls.
Our priority is capital preservation while maximizing its potential yield: diversification, liquidity and risk management are paramount here. Our investment strategy is based on a geopolitical and macroeconomic analysis that allows us to identify the opportunities offered by the markets and respond to the challenges they pose. We take particular care over the balance between risk and yield. Diversification and well-considered allocation in the different classes of assets, combined with particular attention to different currencies is key to obtaining stable and satisfactory performances.
Independence and easy access to the entire spectrum of financial products
Independence and easy access to the entire spectrum of financial products. We invest time and care in researching and selecting investment tools.
The wide choice of investment products available to us in Geneva allows us to put together high-quality portfolios that are different and complementary to the traditional portfolios available in our clients’ home countries.