Entrepreneurship and an industrial approach have been the core of the goldminesinvestment.com business model since the start and from the very beginning, the focus has been on sustainable portfolio company development.
We have been in the system since 2018 owing our market success to a value-oriented corporate culture that focuses on long-term returns. We invest sustainably. And we are committed to long-term partnerships: as an investor, we work with our expert brokers, project developers, property developers, and operators who pursue the same interests as we do. In co-investments, we become our clients’ investment partners. In this way, we offer them the opportunity to participate directly in diverse market.
Since it was founded 2018, goldminesinvestment.com has transformed itself into a differentiated European leader within private markets, with a global focus. Over this period, goldminesinvestment.com has raised EUR 61 billion of Assets, and goldminesinvestment.com Assets have invested in more than 240 portfolio companies, through 31 separate funds across several business lines. The driving force has been a passion for supporting the development of companies that are strong and sustainable in the long-term – a passion that has remained the same for long and which the Company believes to be a key differentiator for goldminesinvestment.com.
goldminesinvestment.com is a registered investment platform providing digital asset investment management services to individuals. We provide a dynamic investment solution to clients in need of a self-operating portfolio, as well as a smart fund with flexible time and good investment returns..
Since the Year 2018, we’ve been offering clients geographical, asset, and risk diversification across investment products, Investments through regulated funds, single asset mandates. Consistently producing positive and competitive returns for institutional investors.
As investment managers, we respond to the ideas and wishes of our clients. With our expertise and advice, we provided the best possible support for realising individual investment ideas. Long-term relationships with employees and clients are of great importance for our entrepreneurial success. These relationships have developed from trust in goldminesinvestment.com as a reliable partner. We support our employees to perform their duties in the best possible way and we are proud of our partnership-based corporate culture, from which our investors profit sustainably..
High-Performance Solutions To Investments
We integrate ESG (environmental, social and governance) criteria into the majority of our investment processes, for fundamental and quantitative strategies over a range of asset classes. We’re convinced that this approach leads to better-informed investment decisions and is therefore vital in creating value for our clients.
We’ve been leading the way in quantitative investing for over 25 years. With our experienced research and investment teams, systematic exploitation of market inefficiencies and strong track records, you can rely on us to deliver superior investment returns.
At goldminesinvestment.com Trade we have a long history in credit, having been investing in corporate bonds since for years now. Today, we run an extensive range of fundamentally managed credit portfolios that are all based on in-depth research and a contrarian outlook. We also offer our clients a number of quantitative credit strategies.
Our first emerging markets equity strategy was launched in 1998 and has regularly been improved by investment process enhancements. We have continuously built on our experience through innovation, also with respect to new product launches. For example, all our strategies have incorporated quantitative models since 2001. We offer a wide range of emerging market approaches, and our track record of innovations shows we only launch strategies that have been successfully tested.
Price And Values
The fourth inefficiency that we consider is the market’s tendency to focus on high-quality growth stocks, which can lead to excessive valuations. To avoid investing in overvalued companies, we apply a deliberate value tilt by seeking to identify undervalued stocks whose earnings potential is not yet fully appreciated by the market. SFM analysis is integrated into investment processes of all of our emerging market capabilities, as we consider many SFM factors to be strong leading indicators for long-term earnings.
Transtrend’s trading strategies have no directional bias and can go long or short to benefit from medium-term price trends in a wide variety of futures and forward markets, including interest rates, equity related markets, currencies and commodities. The strategies systematically search for trends in outright markets as well as comparing different markets, by looking, for example, at spread differentials. Risk management is at the heart of Transtrend’s trading methodology, with a focus on managing extreme downside risk.