Our methods

MMS Method

Flexible equity exposure management and allocation between major asset classes rely on the MMS Method – Montpensier Market Scan

arcades

MMS Method enables our Flexible and Multi-Asset management teams to rely on 4 major analysis pillars in order to determine allocation: 

→ economic momentum
→ monetary dynamics
→ valuation
→ market dynamics

Dedicated funds

Management goals can be pursued using dedicated funds, depending on each investor’s objectives, choices and limitations.

→ Equity management based on geographic or thematic criteria ;
→ Multi-Asset management at various levels of equity exposures ;
→ Direct investment in securities and/or in UCI/ETF

Open-ended funds

SICAV UCITS V
Flexible Management, 0%-100%, Eurozone equities.

Flexible

FCP UCITS V
Diversified Fund of Funds.

Multi-Asset

FCP UCITS V
Diversified Fund of Funds.

Multi-Asset