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Monitoring Portfolio Risk

The typical portfolio monitoring process involves:

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EIM monitors the risk of its portfolios on a weekly basis. In addition, although each portfolio's overall investment policy is typically stable over time, it is reviewed monthly. Each monthly meeting begins with a general discussion of a large number of macro-economic factors that influence various hedge fund styles. This review does not aim to serve as a basis for tactical allocation decisions, but rather as a basis for evaluating how well our managers have reacted and adapted to changing market circumstances.


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