Our team of analysts constantly monitors the market to select certificates with the best risk-return characteristics, providing objective and independent analysis.
Our selection criteria
Structure solidity
We only analyse certificates with protection barriers at least 50% distance from the underlying’s current price. This distance provides a significant safety margin to protect invested capital.
Issuer quality
We exclusively consider certificates issued by prime financial institutions, evaluating credit rating, capital strength and track record in issuing structured products.
Liquidity and tradability
We favour certificates listed on regulated markets with adequate trading volumes, ensuring the possibility to sell before maturity if necessary.
Risk-return ratio
Each certificate is evaluated through proprietary models that consider probability of success, expected return and stress scenarios to identify the most efficient opportunities.
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Maturing certificates
Monitoring of products approaching maturity with suggestions on how to manage them
Thematic focus
In-depth analysis of specific types of certificates or investment strategies
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Professional services for financial advisors
If you’re a financial advisor and want to transform certificates into a distinctive element of your value proposition, we have developed specific services that include:
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Disclaimer: The information provided is for informational purposes only and does not constitute solicitation of public savings or personalised advice. Before investing in certificates, it is necessary to understand their characteristics and risks by consulting the prospectus. Past performance is not indicative of future results. Investing involves the risk of losses.