As a portfolio management company, Warburg Invest is responsible within the Warburg Group for managing mutual and special funds issued in Germany. The Warburg Invest range of funds includes equity and pension funds, money market funds, mixed funds, fund of funds, trend funds with hedging schemes and convertible bond funds.
The investment approach of Warburg Invest uses a non-forecast-based methodology and is orientated towards growth with regard to stock selection. The basic decisions are made on the basis of a combination of fundamental, technical and quantitative analyses, where the relative strength approach plays a major role.
Warburg Invest endeavours to always align the broad range of mutual funds with the times as well as the current market requirements and those of its clients. Therefore the product portfolio is regularly supplemented with innovative products such as the Warburg Euro Pensions Trend Fund and the equity fund of funds specialised in sustained investments, the Warburg Future Strategy Fund.
Institutional investors who appoint us to manage special funds benefit from objectivity when economically relevant factors have to be judged; this objectivity is the result of the Warburg Group's independence, the transparent and comprehensible decision-making process, individual client service and the client-orientated employees at Warburg Invest.

