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Institutional Asset Management
in the Sal. Oppenheim Group


 

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Institutional Asset Management

Your obligation as an institutional investor is to manage the assets entrusted to you with great care and risk avoidance. Therefore, your investment strategy should guarantee a high level of security while at the same time generating predictable and stable long-term returns.

Oppenheim Asset Management meets these requirements with its Asset Allocation Control concept. This is a comprehensive asset management system with which our clients’ current situation, the capital markets assessment, the investment concept and the portfolio structure are continually coordinated. Our own investment products as well as those of our product partners are thereby subject to a cohesive total risk management.

Our Values

In this era of globalisation and the progressive move towards concentration in the banking industry, our clients need a reliable partner more (...)
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Advisory Approach

Our top priority is the satisfaction of our clients. It is especially important to us that our advisors think and act in a service-oriented (...)
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Strategic Alignment

Formulation of the investment strategy and continuity in the personnel structure are direct requirements for the success of our business. For (...)
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Financials

Under this term we subsume the insurance industry as well as private banks, savings banks, cooperative banks and public development (...)
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Large Corporations

Corporate pension schemes make up one of our core competencies. We support clients from the industrial sector as well as SMEs. Our goal is to (...)
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Pension Managers / Public Administration

By this we refer to company and multiple-employer pension funds (Pensionskassen), welfare funds of professional associations, central, regional (...)
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Investment Consultants

Sal. Oppenheim has worked for many years with leading national and international investment consultants. By this we mean that the consultants (...)
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Portfolio Management

Our qualified specialists will care for your assets in the form of mutual funds, institutional funds and management mandates. It is especially (...)
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Fund Administration

Oppenheim Asset Management Services S.à r.l. was founded as Oppenheim Investment Management International S.A. on 27 September 1988 in (...)
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Custody Banking

In addition to private banking and family office services, Sal. Oppenheim jr. & Cie. S.C.A. offers extensive global custody and transfer agency (...)
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Equities Management

The Active-Classic Equities team features a “boutique character” and is composed of portfolio managers and buy-side analysts with longstanding (...)
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Bond Management

Our Bond Portfolio management aspires to raise the portfolio yields through active control of credit decisions and active segment allocation. (...)
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Active Quant Products

The investment objective of Oppenheim Active Quantitative Management is to generate stable returns in excess of a given benchmark. It is (...)
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Absolute Return

The focal point of this portfolio management unit is the strategy of capital protection and appreciation, which enables investors to (...)
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Alternative Investments

The situation on the financial markets frequently means that the investor cannot sufficiently diversify his/her portfolio through traditional (...)
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Global Tactical Asset Allocation

The Global Tactical Asset Allocation team analyses the developments on the worldwide stock markets. With the aid of a quantitative-based (...)
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Asset Management Companies

Through a network of subsidiaries and partner companies, Sal. Oppenheim provides comprehensive and competent asset management over all markets (...)
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Please do not hesitate to contact us

Harald Sandner

Harald Sandner
Head of Oppenheim Asset Management GmbH
Phone +43 1 51866-2500
Send e-mail


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