Thanks to its multidisciplinary and complementary approach, the BlueStar team aims at generating added value through various performance drivers.
Activities range from fundamental and thematic macroeconomic research to proprietary systematic asset allocation models, from the selection of third-party funds and individual securities to hedging and trading with derivative instruments.
Asset allocation advisory
ETF and third-party, best-in-class fund selection
Fundamental & global macro analysis
Research and creation of alternative and thematic products
BlueStar offers advisory services to institutional clients in the areas of asset allocation, selection of financial products, portfolio construction and analysis and risk management. We do not consider individual instruments and asset classes in isolation, but in relation to the client’s risk profile. BlueStar offers a wide range of portfolio customisation options, and client involvement is an essential part of the process.
BlueStar is the Investment Manager of UCITS V investment funds. For more information please visit the products page.
BlueStar Investment Managers SA Via G.B. Pioda 8 CH-6900 Lugano CHE-366.189.869 VAT