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CS&P offers a balanced mix of investment products to meet the clients' needs and aspirations at any given risk level.
Our strategies are innovative and non-correlated to the markets trends; they provide a valuable diversification to a traditional portfolio composed of equities and bonds, and, accordingly to the modern theory developed by H. Markowitz, result in a more balanced and efficient portfolio.
We focus our investments on:
- Commodities
- Currencies
- Derivatives
- Real estate
Please note that our products are not suitable for everyone. We will first interview you to determine your suitability and provide you with all the necessary information to make sure you understand both the risks and rewards of this type of investing. Generally, in addition to having the required risk capital, an investor needs to have realistic expectations about returns on investment, tolerance to temporary drawdowns that inevitably will occur, and acceptance of the reality that the risk of loss always exists.
For further information, please contact our offices or write to cta@carloscevola.com
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