Management Styles
“Benchmarked” management aims to fix the performance of your investment to an index of reference. It gathers 7 funds: money market, bonds and equities, on the principal markets.
The Opportunities Management Style aims outperformance compared to the market trends. These 12 funds give you access to a convicted management, the fund managers have less restrictions and do not have to stay close to their benchmarks. .
Thematic Management gives access, by the means of specific and very targeted expertises, with more original topics of investment, apart from the 'usual suspects'
NOAM Presentation
Neuflize OBC Asset Management, an asset management company formed by the merger between Neuflize Gestion and OBC Gestion in October 2006, draws on a tradition of investment by conviction adapted to suit all types of clients.
With assets under management of €18bn, the NOAM range covers all asset classes and various global markets.
NOAM's fund range
NOAM offers 30 funds that are open to the public and which are grouped into five investment offerings.
- Money market and dynamic money market
- Bonds and convertible bonds
- Equities
- Diversified
- Guaranteed income
Several funds managed by NOAM are currently being registered in the Netherlands, Luxembourg and Switzerland and will be available for sale very soon. Find here our
Registration Overview July 2009
NOAM manages four sub-funds in the Luxembourg SICAV for Fortis Investments:
- FLF Opportunities Euro Plus
- FLF Best Selection Convertible Europe
- FLF Opportunities Europe
- FLF Opportunities USA
NOAM's staff
Your funds are managed by an experienced team of more than 100 professionals, including more than 20 analyst/fund managers, of which the quality is acknowledged by the market. This professional team, with an average experience of 15 years, is at your disposal.
NOAM's positioning
NOAM is a 100% affiliate of the ABN AMRO Group.
In France, NOAM is positioned as an asset management company with a human touch, constantly in search of flexible and suitably adapted solutions for its clients while at the same time anticipating market trends.
NOAM also enjoys an excellent reputation for its expertise in performance allocation. Comprehensive explanatory analyses of actual performances are provided for all products.
NOAM's overall strategy
- Active management that seeks to get ahead of structural trends and gain a better understanding of market fluctuations.
- A need for transparency and proximity with regard to our clients to offer responses that are rapid, suitably adapted and effective.
- Management by conviction, strategic choice of style, associated with fundamental analysis of stocks and our fund managers’ expertise.
- An international view of the markets thanks to the ABN AMRO network.
NOAM's subsidiary companies: Neuflize Private Assets and Fontenay Gestion
NOAM has two subsidiary companies, renowned for their expertise:
NPA for Absolute Performance and Fontenay Gestion for French equities.
* Notation Morningstar Overall, based on the average of the adjusted performances of the risk on 3,5 and 10 years. If a OPCVM is classified among best the 10% of its category, 5 stars are decreed to him. The 25% following receive 4 stars.
2008 Morningstar Inc. All rights reserved
