Why Vivienne ?
To offer a solution adapted to the reality of the financial markets.
Faced with the complex world of the financial markets, finding the right index or benchmark or betting on effective active management is often difficult.
Vivienne Investissement was founded with the desire to develop a differentiating approach to asset management in order to offer optimal investment solutions for investors seeking a quality risk/return ratio.
Science, the optimal solution to the complexity of markets
We are facing a complex universe whose laws are not only poorly understood but also changeable.
The functioning of the markets is not fixed, on the contrary it is in perpetual evolution: the actors change and their strategies with them. The rules of the game are constantly being revised.
Understanding these changing laws involves a number of skills: understanding market movements, adapting to their current behavior, and improving the analysis and management of extreme risks.
In all these areas, science is present at all levels of our value chain.
Thanks to state-of-the-art technologies, our adaptive and robust management processes allow :
- A better understanding of the markets
- Optimized flexibility and diversification regardless of market conditions
- A truly dynamic allocation
- Innovative risk management