One passion: Investments
Since creating BBGI in 2002, we have been managing the assets of institutional and private investors with solutions adapted to the volatility of financial markets and an alternative view of equity markets
Our management concepts optimize our skills in each specific field and cover the whole global investment spectrum.
Our bond expertise covers Swiss, European, and other international bonds, emerging market debt, credit risk management, currency management and government and corporate debt.
Our expertise in equity markets includes: Swiss, European, international, emerging markets, big and small caps stocks, global or regional ideas and investment sectors.
Diversified management is historically the core of our business, we manage diversified institutional and private mandates of all types, drawing on our experience in asset allocation and stock selection.
We have been a pioneer in managing commodities since 2000. We offer up our global and specific expertise in this asset class (energy, precious metals, basic materials and soft commodities).
Since 2002, currency risk management has become a specific management concept for us, distinct from other management processes. We offer our expertise through currency overlay mandates.
BBGI Group’s experience in SRI and sustainable development dates back to 1998. We have since developed approaches which are adapted to every asset class to take into account this dimension in asset management.
We manage tactical risks both within a specific asset class and within a global diversified strategy as part of a mandate or in terms of an advisory mandate.
As global investors, we also cover other asset management domains such as alternative management, structured products, Islamic banking…