Research
Multi-asset-class research
MEAG Research is about true multi-asset-class research. It covers the entire range of markets, from cash to fixed income, to foreign exchange, equities, commodities and real estate. Our focus here is on the complex interaction of the markets and on making medium to long-term forecasts of their future developments.
p>
Buy-side research
MEAG Research stands for buy-side research designed to make a material contribution to alpha generation. We use material supplied by banks, brokers and independent research providers, as well as our own quantitative models and fundamental research. What we have learned from this research goes to generating performance exclusively for MEAG customers.
p>
Scenarios, strategies and asset allocation
In addition to compiling a medium-term market view for the various asset classes, MEAG Research also develops and constantly updates alternative scenarios, formulates quantitative portfolio insurance and investment strategies, and uses these when advising on asset allocation between the asset classes. One of our main focuses is on advisory services relating to the Strategic Asset Allocation.
p>
|