Financial Portfolio


Landmark Capital manages its financial portfolio with a particular focus on income instruments evenly balancing it among stocks, bonds and investment funds.
The asset allocation is constantly monitored and updated according to the performance of financial markets and combining the research of a positive return with a careful risk management.
The company pays particular attention to the diversification of its portfolio from a geographical, sectoral and currency perspective. 
For this asset class, in order to minimize volatility and risk and to receive an information flow as complete as possible, Landmark Capital is assisted by the best international financial players.