Our service in this area is based on a systematic approach to each fund. It takes into account the expectations and preferences of investors and makes it possible to achieve stable, long-term capital growth with moderate risk. At QFM, we've developed a model for independent fund management that works well with the funds' own way of doing things and gives our funds complete control over how they invest their money.
Furthermore, QFM acts as an extension of our clients by:
- Operating the assets of the funds under QFM management.
- Conducting a credit analysis.
- Management of regulatory compliance (including AML/CTF/KYC).
- Safeguarding investor interests.
- Mitigating the risk of conflict of interests.