STRATEGIES FOR SUCCESS. Banca Zarattini & Co was founded in 1991, as a financial organization specialized in alternative investments, with a high level of expertise in various financial areas.
The consistently positive results are made possible by the use of the following Asset Management techniques and the discipline with which they are applied:
- market neutral strategies and arbitrage techniques
- discipline and risk aversion
- stability and low volatility
- active management policy
- independent research.
Banca Zarattini & Co’s Institutional Asset Management applies the following investment valuation methods on a daily basis:
- bottom-up fundamental analysis
- dynamic asset allocation
- macroeconomic and sector analysis.
- technical and quantitative analysis.