SYZ ניהול נכסים: OYSTER Absolute Return מדורגת במקום הראשון בהולנד יותר משלוש שנים

 SYZ Asset Management: OYSTER Absolute Return ranked Nr 1 in the Netherlands over 3 years

GENEVA, May 21, 2015 (GLOBE NEWSWIRE):

 

OYSTER Absolute Return EUR EUR2, a sub-fund of the OYSTER SICAV registered in the Netherlands, was ranked best fund in the Netherlands over 3 years by Lipper in the "Absolute Return EUR Low" category. The OYSTER SICAV is a Luxembourg domiciled UCITS managed by SYZ Asset Management (Luxembourg) SA. This accolade underlines the breadth of winning strategies offered by SYZ Asset Management, which is already well-known for its European equities franchise. The European Corporate Bonds and Dynamic Allocation funds managed by SYZ Asset Management have also received several awards in Europe in the past years.

 

Maximizing return with limited risk

 

In today's record-low interest rates environment, OYSTER Absolute Return EUR provides investors with a compelling alternative to their bond allocation and offers a low-risk building block in their absolute return portfolio. With a strong focus on risk control, the strategy invests in an allocation of traditional asset classes (cash, bonds, equities, derivatives), as well as in a diversified and liquid alternative investment bucket (maximum 10%). OYSTER Absolute Return EUR has been managed since inception by SYZ Asset Management's Multi-Asset investment team headed by Fabrizio Quirighetti, responsible for the overall asset allocation and the top-down preferences in the fixed income and equity buckets.

 

The objective of the fund is to maximize returns within a definite risk budget of 2% monthly VaR (95%) or a targeted volatility below 3.5%, through a dynamic asset allocation. While the overall asset allocation is pretty stable due to tight and disciplined risk budgeting, the buckets are actively managed. The investment approach is comprehensive, transparent, with a focus on liquidity and capital preservation.

 

<<Our absolute return strategy can be seen as an unconstrained bond portfolio with a limited equity "spice". We have adopted a holistic, pragmatic and opportunistic approach that places the highest emphasis on capital preservation. Our very senior and stable investment team is a strong factor in the consistency of our results.>> commented Fabrizio Quirighetti, CIO and responsible for the overall asset allocation.

 

Expertise in a wide range of strategies

 

Already well known for its European equities franchise, SYZ Asset Management demonstrates with these awards its strong expertise outside the pure equity universe. Indeed, the European Corporate Bonds and Dynamic Allocation strategies managed by SYZ Asset Management have also received several awards in Europe in the past years.

 

<< We are particularly proud of this award as it recognizes our philosophy of active and opportunistic management focused on performance, across a wide range of high added value strategies >> commented Xavier Guillon, CEO of OYSTER Funds.

 

For further information, please contact:

 

Moreno Volpi

Tel.: +41 (0)58 799 16 98

E-mail: moreno.volpi@syzgroup.com

 

Note to editors

 

About SYZ

 

Founded in Geneva in 1996, the Swiss banking group SYZ focuses exclusively on high-end wealth management and institutional asset management. The Group manages CHF 29 billion (EUR 28 bn) of client assets with 440 employees. In addition to the Bank's headquarters in Geneva, the Group also has offices in Switzerland in Zurich, Lugano, Locarno and internationally in Milan, Madrid, London, Edinburgh, Brussels, Luxembourg, Paris, Nassau, Dubai and Hong Kong.

 

www.syzgroup.com

 

About OYSTER Funds

 

OYSTER is SYZ's investment fund family, designed to address the specific needs of a professional client base. With a strong focus on performance, this Luxembourg SICAV comprises nearly 30 sub-funds and is currently registered and distributed in various European and Asian countries through a vast distribution network. In order to generate a first-rate performance for its informed and demanding client base, SYZ rigorously selects specialists to manage its OYSTER funds, through a combination of internal and external fund managers.

 

www.oysterfunds.com

 

About SYZ Asset Management

 

All of the Group's institutional asset management business, covering both traditional and alternative strategies, is integrated in SYZ Asset Management, which provides investment solutions to institutional investors such as pension funds, insurance companies, corporations and investment funds. SYZ Asset Management meets clients expectations in terms of institutional management and customer service through proprietary resources in economic research, financial analysis, portfolio management and risk management.

 

www.syzgroup.com

 

Contacts

  OYSTER Sicav                          SYZ Asset Management                                                           

  11-13 Boulevard de la Foire           (Luxembourg) SA                                                                

  L-1528 Luxembourg                     54 rue Charles Martel                                                           

 info@oysterfunds.com

L-2134 Luxembourg                                                              

  1. Tel. : +352 26 27 36 1                                                         

 

  REPRESENTATIVES                                                                                                       

 

  Switzerland                           Germany                          Italy                                         

  --------------------------------------------------------------------------------------------------------

Service de paiement pour la Suisse    Zahlstelle                       Soggetto incaricato dei pagamenti

RBC Investor Services Bank SA Succursale di

Banque SYZ SA                         BHF-BANK AG                       Milano

Rue du Rhone 30                       Bockenheimer Landstrasse 10      Vie Vittor Pisani 26

CH-1204 Geneve                        D-60323 Frankfurt                I-20124 Milano

  1. Tel. : +41 (0)58 799 10 00            Tel.: +49 (0)69 718 22 75        Tel.: +39 02 305 756 1

 

France                           Soggeto incaricato dei pagamenti

---------------------------------

Representant pour la Suisse           Agent centralisateur             State Street Bank SpA

SYZ Asset Management (Suisse) SA      BNP Paribas Securities Services  Via Ferrante Aporti 10

Rue du Rhone 30                       9 rue du Debarcadere             I-20125 Milano

CH-1204 Geneve                        F-93500 Pantin                   Tel.: +39 02 879 671 53

  1. Tel. : +41 (0)58 799 19 05            Tel. : +33 1 57 43 12 58

Soggeto incaricato dei pagamenti

Spain                                 Austria                          Societe Generale Securities Services SpA

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Entidad comercializadora              Zahlstelle                       Via Benigno Crespi 19/A-MAC 2

Raiffeisen Bank International

Allfunds Bank                          AG                              I-20159 Milano

C/ Estafeta N:o6 (La Moraleja)        Am Stadtpark 9                   Tel.: 39 02 917 846 61

Complejo Pza. de la Fuente- Edificio

3                                    A-1030 Wien

  1. 28109 Alcobendas                      Tel.: +43 (0)1 717 070           Soggeto incaricato dei pagamenti
  2. Tel.: +34 (0)91 274 64 00                                              Allfunds Bank SA

Via Santa Margherita 7

I-20121 Milano

Tel.: +39 02 896 283 01

Belgium                               Sweden

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Agent financier - Financiele agent    Paying Agent

Caceis Belgium SA                     MFEX Mutual Funds Exchange AB

Avenue du Port 320                    Linnegatan 9-11

Havenlaan 86C b                       114 47 - Stockholm

B-1000 Bruxelles                      Sweden

  1. Tel. : +32 (0)2 209 26 40             Tel.: +46 (0)8 559 03 650

Disclaimer

 

Oyster SICAV is an open-ended multi-fund investment company established and regulated in Luxembourg. Copies of the SICAV's current Prospectus and Key Investor Information Document can be obtained from SYZ Asset Management (Luxembourg) SA. Instructions to purchase or redeem shares of any class available to UK Investors can also be placed with them. Past performance is not a guide to the future, and the value of investments can fall over time as well as rise. An investment in sub-funds of Oyster SICAV involves risks that are more fully described in the Prospectus. The content of this media release is provided solely for information purposes and constitutes neither a recommendation to buy or sell. Always consider taking independent investment advice from a person properly authorised and regulated prior to investing.

 

The English text prevails.

OYSTER AR- Lipper Award NL: http://hugin.info/166509/R/1923108/689625.pdf

 

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