Portfolio Management

The international money and capital markets present both opportunities and risks capable of reversing the investors’ plans and future desires. The company’s professional management aims to exploit these opportunities, while mitigating the risk level of the clients’ portfolios through modern management tools and autonomous procedures offering maximum flexibility.

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Risk Management

The company's Risk Management department acts as a guardian of the company's structure within the limits of its policy and is responsible for the design and implementation of the necessary methods, in order to address the problems that would probably arise, always in accordance with its principles.

The risk categories involved in the markets can be grouped into the following general categories:

  • Purchase risk
  • Liquidity risk
  • Credit risk
  • Operational risk
  • Legal risk.
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