Smart strategies for thoughtful investors

Better investment decisions, informed by rigorous, proprietary macro-economic research and market analysis. An outlook is founded on long-term trends and the value to be found in them. A philosophy that champions new thinking and strategies that challenge convention.

Multi-asset specialists delivering flexible and effective long-term Asset Management solutions for private clients, institutional investors, and intermediaries

AH HOLDING d.o.o. Asset Management is the asset management arm of AH HOLDING d.o.o., a global private banking group headquartered in Vaduz.

AH HOLDING d.o.o. Asset Management is an international provider of actively managed investment products and services to private clients, institutional investors, and financial intermediaries worldwide. With a full range of investment solutions, including traditional equity and fixed income portfolios, multi-asset and alternative strategies.

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Our investment process

We closely monitor economic and policy developments in all the major developed and emerging economies in order to assess prospects for economic growth, inflation, interest rates, exchange rates, trade and capital flows, and sector balance sheets.

We examine the major themes driving the global economy and asset classes, including equities, bonds, commodities and currencies assets and how they fit into our overall global asset allocation strategy.

Entrepreneurial thinkers are behind the successful companies of tomorrow. Our Future Leaders methodology identifies visionary corporate leaders as a predictor of opportunity. Delivering smarter decisions and better outcomes.

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Responsible investing

Investing in a sustainable and responsible manner has rapidly become a much more important consideration for banks, asset managers, their clients, shareholders, and society at large. At AH HOLDING d.o.o. we believe when selecting and managing investments we must take ESG criteria into account.

Despite its many challenges, we see integration as the most sensible approach to meet the requirements of our investors and the broader aims of the economy, the environment, and society. Although this will be an evolving journey, it is our intention to clarify our approach to this significant topic through the selection of the below explanatory pieces.

Our commitment

Our commitment is demonstrated through being a signatory to the Principles for Responsible Investment (PRI) and the Slovenian Sustainable Finance (SSF) association (through AH HOLDING d.o.o.). These mutually enriching partnerships collectively define, assess, and face the challenges and opportunities linked to the wide range of issues covered by AH HOLDING d.o.o. criteria.

We think and act like entrepreneurs. We design and deliver customized solutions that meet our client’s individual goals and ambitions – creating a new banking experience.

FINANCE

We believe the integration of ESG factors can improve our understanding of the companies in which we invest. More broadly, paying regard to ESG issues can bring positive change to society and the environment. We recognize, however, that ESG ratings are not perfect and have room to improve. Among the challenges we observe, there is the potential for different methodologies to produce conflicting results. The process of arriving at ESG ratings may also be difficult to comprehend. Therefore, to best meet the needs of our clients, fulfill our due diligence requirements, and remain responsible for our judgments, we have built an internal approach to ESG analysis: GRIP our Global Responsible Investing Platform.

We believe ESG integration is most effective when it is fully embedded in the investment process, rather than applying a simple overlay of external ratings. While GRIP is owned and controlled by the ESG team, only a continuous dialogue with financial analysts and portfolio managers and the companies in which we invest can help us to correctly identify ESG issues. Working together we can better identify, analyze and integrate the ESG factors most likely to have a material impact on the long-term performance of an investment.

Our Approach

Our investment approach is rooted in proprietary fundamental analysis. Environmental, social, and governance factors can improve our understanding of the companies we invest in, and bring positive change to society. Read on to learn about the framework.

Our report

Now more than ever, engagement is a compelling way to create a dialogue between stakeholders to achieve a common goal, our survival. This report presents our objectives and engagement activities to prevent risks that could jeopardize financial stability.