At Coges Corraterie Gestion SA, we strive to understand the forces driving financial markets, invest long-term to capture innovation and value creation by companies, while applying rigorous risk management. Our model is based on solid expertise, recognized experience, and inalienable independence in the service of performance.
Within the framework of the given mandate (discretionary, advisory, or consulting), our managers strive to build a flexible asset allocation over time and seek agile and high-performance investment solutions. They create portfolios adapted to your personal situation, regardless of your sensitivities or constraints.
We ensure the greatest transparency in our decision-making process and the selection of our investment vehicles, whether they are direct securities or collective instruments. This approach is essential as it allows you to navigate challenging times with confidence and serenity.
To strengthen the different stages necessary for managing your assets, we use state-of-the-art tools, proprietary models, and a sophisticated portfolio management system (PMS) that allows real-time monitoring of their evolution.