Strategic financial solutions
Rego Partners advises its clients on the design of specific financial solutions. Our aim is to add stability to the overall portfolio by focusing on the reduction and control of the investment risk.
To achieve further enhancement of the portfolios’ stability, we use rigorous financial models and next generation in-house techniques that provide more insight in the drivers, factors and risks behind investment decisions. We also create indices in specific investment instruments.
The team of Rego Partners consists of financial experts and academics who have built up experience through the years, especially in the field of risk reduction and financial stability as well in the area of strategy development and portfolio construction.
Fund selection & alternative UCITS
Our subsidiary LuxHedge is a specialist in the selection of traditional and alternative UCITS funds. We will combine active top-down asset allocation and bottom-up fund selection, adapted to the needs of our clients.
The LuxHedge internal data base covers around 500,000 funds as well as a specialised base (the largest of the market) of more than 1,300 European alternative UCITS funds through 12 different strategies.
The LuxHedge research and consulting team is composed of professionals having a significant experience in the identification, analysis and investment in active, passive and alternative UCITS funds.
Fund & asset management
We are able to provide our clients services for fund and asset management and multi-factor technologies via our subsidiary ShelteR Investment Management.
ShelteR’s approach is based on client-focused investing where risk reduction and stability are key considerations. Where most managers aim for the highest returns, ShelteR focuses on stability and a better trade-off between risk and return.
ShelteR is a Luxembourg-based investment management company regulated by the CSSF and is a partnership between Securex and Rego Partners. ShelteR’s expert team combine a systematic investment approach with active market monitoring and qualitative research to optimize portfolios.