Investment strategy is defined through an asset allocation consistent with the overall macroeconomic scenario. Investment in Fixed Income, Equities, Money Markets, Foreign Exchange, Alternative Investments and Derivatives Markets.

These investments focus on:

Selection Funds with the best managers with established track record. Reaching great diversification in Fixed Income, Equities, Alternative Management and Monetary Markets.

Asset picking on any organized market depending on investment opportunities.

Financial derivatives using as underlying the most recommended at all times international stock indexes.

All investments are channeled through the major institutions of national and international private banking. Thus, the Corporation operates in all markets.

Corporación Financiera Valora · Ávila 60-64 · 08005 Barcelona · España · Tel. +34 93 186 07 86 · Fax +34 93 186 07 87 ·