
Societe Generale Private Banking Japan mobilizes the resources of our international centres of expertise, which are dedicated to the in-depth analysis and selection of sophisticated investment solutions. Our fund offering is well-established and utilized particularly in discretionary portfolio management.
Complemented by our established experience and our ‘open architecture’ approach, providing access to every product available on the market, these centres of expertise ensure that all of your goals are met and form the foundations upon which our unique wealth management offer is built. Our fund managers utilize this selection of funds and hedge funds in their allocation process in order to offer a higher level of diversification and invest in markets requiring specialised skills.
Based in Guernsey and Paris, our Fund Research Centre specializes in traditional fund selection, with the sole objective of selecting the best performing investment funds, regardless of the issuer. The decision-making process is independently audited. Following a rigorous procedure involving both quantitative and qualitative analysis, our experts draw up a list of funds in each asset class and sector, including European shares, US shares, UK shares, Japanese shares, emerging market shares, bonds and the money markets.
Every year, from a total of approximately 25,000 funds, they identify the top 300, managed by over 70 issuers, and representing more than 100 investment sectors – giving your portfolio manager in Japan a meaningful head start in meeting your investment goals.
Based in Paris and New York, our hedge fund experts have over 15 years of experience in quantitative and qualitative analysis, and in the selection of internal Societe Generale Group and external funds of hedge funds. Our teams are completely independent in their selections, choosing only the best funds on the market. Their choices are based on the strictest criteria, and they look not only to short-term performance but to other key factors such as liquidity and risk management. The presence of an independent risk assessor and internal auditor guarantees the quality and transparency of the information upon which your wealth management strategy is based.