Bantleon - The Bond Manager

Reliability

For 20 years, the bond manager Bantleon has placed security, transparency and a systematic approach in the centre of their investment management. Behind this is the concept of capital forming bond funds which protects the capital of the investors. The basis for this is an active and sound management of high quality bonds with an »investment grade« credit rating.

Immunisation strategy

In order to achieve stability of earnings the investment management of Bantleon is based on up to five independent return components, which are each managed separately: duration, yield curve, spread, inflation indexation and equity. This immunisation strategy has been used since 1 January 2004 for instance in the flagship fund Bantleon Return.

Continuity of staff

The independence of the bond manager Bantleon enables continuity of the products and doing without short term fashion trends. By the presence of short informational pathways between analysts, investment managers, risk controllers and the owner of Bantleon, everyone can apply his abilities. In this way, every specialist receives the correct appreciation and best development potential. This corporate culture binds specialists from all areas for the long term. Therefore, the average corporate tenure of the management is more than 13 years. This is the reason why the investor can trust in the reliable continuation of the established management style.

 
© Bantleon 2012 Imprint