Joseph Sassoon Asset Management’s services are designed to offer our clients actionable market intelligence and investment strategies. We look beyond indexed performance to create real, long-term value through strong, principled positions.
Providing Meaningful Financial Products
In all our investments, we endeavor to take a comprehensive view of the risk involved. Our aim is to provide meaningful financial products with tangible and reliable data on the real economy. Keeping with our motto: Wisdom, Knowledge and Understanding, our asset management team developed a unique approach that exemplifies these values.
We innovate for our clients, striving to offer new opportunities and services in line with their needs. Be it in terms of instruments, methods or new management techniques, our teams are constantly seeking to scrutinize our offering in order to identify the best service or product for the client to mitigate risk and optimize performance, and to that end are actively considering the future of assets and reexamining the finance of the portfolios entrusted to them.
Because we know that real performance is built over the long term, we do not speculate. Instead, we value continual investments that take into account not only financial considerations, but also market conditions, political stability and socioeconomic factors.
Our relationship with our clients is of paramount importance to us. That is why we are transparent with them at all times. Our clients have unfettered access to the decision-making process, from the recommendation stage through to the tangible impacts of each of our investments.
The fundamental glue that holds any relationship together... is trust.
By investing in all the products we offer, we create a real bond with our clients that is based on trust and transparency. Each product in our range is built on a strong conviction that holds firm, always in anticipation of market changes.
Joseph Sassoon Asset Management has almost €250 million mostly in European real estate assets under management. We continue to build sustainable income producing assets that complements our clients’ investment objectives while mitigating risk to market volatilities and optimizing performance through acquisitions during a down-market and capitalizing on the rise in assets’ value during an up-market.