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Atrium Investimentos optimizes its clients` portfolios by including alternative investment asset classes into the asset allocation mix, such as Real Estate, Hedge Funds and Commodities. This allocation is tailored to meet clients` expected returns and respect their risk tolerance.  
 
Our purpose is to provide our clients access to the best of breed products available in the market at a global scale. To do so we use a rigorous and independent judgment, the best specialists available in the industry and identify the best-suited alternative investment opportunities for each one of these assets classes. 

When addressing the issue of asset allocation, a low correlation between all assets of a portfolio leads to a reduction of the total risk while maintaining the same level of expected returns.  
 
As a result, diversification is an essential tool to fully optimize the asset allocation of a portfolio and although traditional asset classes (e.g. Stock, Bonds and Cash) are imperative for a healthy portfolio, alternative investments also play an important role.  
As such it is essential to monitor closely the ongoing correlations between all asset classes in order to insure a superior portfolio model, enhancing the risk/return relationship.