Our investment philosophy
It's better not to lose money in the first place
This approach allows for better compounding of returns over time.
We offer diversified, multi asset class portfolio strategies specialising in:
Our approach increases the likelihood of portfolios achieving their objectives (ie. smaller draw downs, more risk control and higher probability of achieving return objectives).
Quilla's models and our investment philosophy are based on industry best practice. They are completely transparent and free of embedded conflicts of interest.
We offer diversified, multi asset class portfolio strategies specialising in:
- Manager Research, incorporating our own qualitative and quantitative research;
- Asset allocation analysis across 120 asset classes and strategies. Asset allocation strategy has been proven to be the primary driver of outcomes for multi-asset portfolios; and
- Detailed analysis covering Stress Testing and Back Testing.
Our approach increases the likelihood of portfolios achieving their objectives (ie. smaller draw downs, more risk control and higher probability of achieving return objectives).
Quilla's models and our investment philosophy are based on industry best practice. They are completely transparent and free of embedded conflicts of interest.