Asset Management:Philosophy


Performance should not be left to chance. 1875 FINANCE, expertise, experience as well as quantitative tools contribute to generate stable risk-adjusted returns.

We endorse the use of a robust best-in-class asset allocation model to neutralize cognitive bias on a top-down basis.

Independence = open architecture = absence of conflicts of interest.

Risk-optimization and monitoring tools calibrate the risk/return of portfolios.

Transparency, liquidity, quality and cost minimization are all important criteria when choosing investment vehicles.

We believe that generating performance primarily depends on capturing market regimes.

Last but not the least, we believe that experience is the key driver of performance.

One of the few FINMA fully licensed asset managers in Switzerland.

Positioned to comply with new regulation and new technology developments.

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Should you require any additional information, do not hesitate to contact our team of specialists.

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We would be happy to provide you with more detailed information about 1875 FINANCE.

Further links


To find out more about our investment recommendations, visit the Research section.

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