MYRA Capital as an independent advisory boutique is a leading name in the field of dynamic investment strategies. These are rule-based, transparent and primarily implemented for institutional investors.
In this case we do not engage in individual securities research including stock-picking, but rather focus on dynamic risk-controlled quantitative allocation models that are implemented in the context of overlay strategies.
Our expertise in asset management dates back to 1996. We distinguish ourselves by verifiable investment performance, high customer orientation and an additional value-creating innovation joy. See for yourself.
In the MYRA enterprise group passionate financial market professionals are working on innovative investment concepts and investment products that generate real added value for our customers. The basis for this successful work is years of practical expert knowledge in institutional asset management at well-known banks, fund and product structuring together with a large experience about capital markets.
As a specialized boutique we offer institutional investors individual and customized solutions. Accuracy of fit will not be a coincidence but rather explicit corporate philosophy. It is important for us that we can sustainably support, and provide you with efficient investment solutions which offer decisive added value.
Management and employees have jointly 100% of the company shares – and thus act deliberately and directly to our brand image and success of the investment strategies which are designed and executed by us. Our customers benefit from highly competitive fees, high efficiency in all processes and services, and absolute integrity.
In addition to classic UCITS investment funds our consulting portfolio includes mandates for well-known insurances and pension institutions at home and abroad. Moreover, MYRA Capital has a special competence-centre for analysis, research and conception of indexes, index-based investment concepts and appropriate product solutions.