SR Dresdner is a leading alternative asset manager serving public, intermediaries, pension funds, foundations, private banks, high net worth individuals and families with investment solutions that manage risk, optimize benefits, and expand the power of capital in the changing market volatilities.
Amid increased global demand for investing solutions while income from traditional sources is diminishing, investors today look to non-traditional strategies, liquid alternatives from new sources of return that are relatively uncorrelated with equity and bond markets. At SR Dresdner, we are dedicated to delivering consistent and superior investment solutions to our clients through relentless effort in pursuing alpha in a low-return income-shortage world.
Riding on innovation and technological advancement, and supported by experienced compliance, risk management, trading and operational teams, we translate our research driven market insights into active investment strategies and blend them in a robust, dynamic risk-managed portfolio; hence generating attractive risk-adjusted returns through exploiting mispricing from market insufficiencies.
Asset management services provide access to experienced professionals who work with you to design an investment strategy that will help meet your needs both today and into the future. Our advisors will work with you to understand your risk tolerance, determine the right asset allocations and implement your portfolio strategy. Once this is determined, it’s important to review your portfolio on a regular basis to stay on top of evolving changes in your life and in the market.
Our in-house investment solutions work for successful, affluent individuals who want to actively manage their wealth with a focus on absolute return and capital preservation. We offer our clients investment solutions through customized portfolios, co-investments, direct investments and established funds across alternative strategies including diversified, strategy-focused and opportunistic. Across investment strategies, we achieve our objectives of producing attractive risk-adjusted returns in a variety of market environments because of our experience, expertise, and disciplined investment approach. Asset allocation is integral to these solutions and is based on your risk tolerance profile. We can design solutions that best fit your needs.