SGO Mali Finance

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Fund Size:  AUM

Description:

SGO MALI FINANCES IS AN INDEPENDENT COMPANY RUN BY EXPERIENCED PROFESSIONALS.
IN-HOUSE STUDIES ARE THE SUBJECT OF AN INVESTMENT STRATEGY; THIS WORK IS THE FOUNDATION UPON WHICH MANAGED PORTFOLIOS (UCITS) ARE CONSTRUCTED.

THE CREDIT RISK ANALYSIS AT SGO MALI FINANCES IS THE SUBJECT OF SPECIFIC STUDIES REGULARLY UPDATED BY THE MANAGEMENT COMPANY.MARKET RISK IS CHARACTERIZED BY VOLATILITY.

THE MATCH BETWEEN THE LEVEL OF THESE RISKS AND THE PERFORMANCE OBJECTIVES OF THE FUNDS MANAGED IS THE PRIORITY OF THE SGO MALI FINANCE.
SGO MALI FINANCES MANAGES THE PORTFOLIO OF ITS CLIENTS TAKING INTO ACCOUNT THE OBJECTIVES OF SECURITY, PROFITABILITY, RISK AND LIQUIDITY. PORTFOLIO MANAGEMENT ACTIVITIES INCLUDE BOTH EQUITIES AND BONDS AND UNDERTAKINGS FOR COLLECTIVE INVESTMENT IN TRANSFERABLE SECURITIES (UCITS).

Key Areas of Expertise:

Security, Profitability,
Risk and Liquidity. Portfolio Management
Category:
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