The aim of Asset Management is to maximize investment returns after taking into account a client’s risk appetite and investment strategy. Clients' asset portfolios are under the active management of experts who closely monitor developments on the financial markets on a daily basis. There is a strong focus on independence, team work and specialization, and experts on different markets meet regularly to determine the main areas of emphasis in the portfolios. This means that the asset composition of a securities portfolio is under constant review, which is essential in an ever-changing environment.
Risk management and monitoring are key factors in asset management. Arion Bank has developed a first-rate risk management division and its tasks include calculating the daily price of portfolios, calculating returns, monitoring compliance with the defined investment strategies and other risk factors.
For more information on Asset Management please contact one of our account managers in Private Banking on +354 444 7410 or send e-mail to email@example.com.