More security for your values
The total return approach gives you a high degree of confidence that your assets will be preserved and that risks will be minimised consciously.
With the total return approach, asset management is based on broad diversification and flexible allocation. A benchmark orientation is deliberately dispensed with. The investment objective is to achieve an attractive total return exceeding the money market in absolute terms, with a focus on solid asset preservation. Active asset allocation is designed on the basis of the LLB investment policy and managed using a robust risk model. Consideration of the downside risk is prioritised and, if necessary, controlled at the expense of participation in upward trends. In addition, the inclusion of riskier asset classes can be reduced completely in extreme cases.
The investment office of the Liechtensteinische Landesbank (Österreich) AG has many years of core competence in the management of mandates with a focus on value preservation. This also applies to the holistic development or implementation of sustainable value preservation concepts.