My bookmarks

Pins are saved using cookies. Deleting them from your browser will delete your preferences.

Menu

La Française Asset Management GmbH 

The Germany-based investment center of La Française for rule-based and systematic investments

La Française Asset Management GmbH, founded in 1991 under German law, is specialized in systematic and forecast-free investment strategies. With our rule-based processes, our objective is two-fold: to exploit market opportunities and to minimize incurred risks. 

To this end, our investment team uses a “trend phase model” and implements an “equities equilibrium” approach. Our sister firm, Veritas Institutional, developed an in-house model, Risk@Work, that is capable of defining floor limits and mitigating potential losses. Additionally, our Quality Value Model is used to structure our stock selection process.
 

Expertise

Managing assets according to defined rules

Much of the success of our multi-asset fund range can be attributed to Risk@Work, a model that simulates loss scenarios, that will not be exceeded at any time, with a probability of 99.9999 percent (1:1 million). This state-of-the-art risk measurement of the floor limit resembles a safety net designed to protect investors from a free fall during periods of high market volatility. If the security price rises by a defined value since beginning of the year, the floor limit is adjusted. Thus, the profits achieved so far are also covered by the capital protection concept.  

Our trend phase model and further safety systems like the Börsenampel complement the concept. Hence, a timely exit from the stock market can avoid large and prolonged loss phases. 

Using opportunities without making predictions – with our stock selection model

We also adopt a structured approach when selecting stocks for our European, real estate equity and infrastructure funds as well as the equity component of our multi-asset funds. Our Quality Value Model identifies securities that are highly profitable and have a favourable valuation. In addition, purely quantitative criteria for trend stability, low risk and sustainability (ESG criteria) are used.  Thus, stocks that have survived stormy markets with relative low volatility are preferred. The objective is to construct portfolios that deliver potentially high returns with relatively low volatility.  

More than 90 recognized prizes and prestigious awards attest to the quality of our investment solutions and the quality of our investment team. 

Portfolio managers

Our specialists for rule-based investments

Contact

La Française Asset Management GmbH

Tel.: +49 (0) 69. 97 57 43-0

La Française Group provides access to the expertise of a number of asset management companies around the world. To provide you with the most relevant information, we have developed an interface to present the full range of products available for your investor profile and country of residence.
Present yourself
1
Country
2
Language
3
Profile
Your country of residence
Your language
Your profile
<p class="new-disclaimer__legal-notice">Before consulting this website, for your protection and in your interest, please read the “<a href="en/legal-notice/" target="_blank">disclaimer</a>” and “<a href="en/regulatory-information/" target="_blank">current regulations</a>” carefully. This information explains certain legal and regulatory restrictions which apply to individual and professional investors according to local law. By accessing this site, in my non-professional or professional capacity, I acknowledge that I have read and accept the terms and conditions of use. Pursuant to the application of the European Markets in Financial Instruments Directive (“MiFID”), please state to which category of investor you belong&nbsp;:</p>
<p class="new-disclaimer__legal-notice">Before consulting this website, for your protection and in your interest, please read the “<a href="en/legal-notice/" target="_blank">disclaimer</a>” and “<a href="en/regulatory-information/" target="_blank">current regulations</a>” carefully. This information explains certain legal and regulatory restrictions which apply to individual and professional investors according to local law. By accessing this site, in my non-professional or professional capacity, I acknowledge that I have read and accept the terms and conditions of use. Pursuant to the application of the European Markets in Financial Instruments Directive (“MiFID”), please state to which category of investor you belong&nbsp;:</p>
By continuing browsing on this website, you accept the use of cookies and other tracing devices s as to allow you to receive information suited to your profile, facilitate information sharing on social networks, guarantee the best browsing experience possible and to create statistics. To find out more, we invite you to consult our Privacy and Cookies policy. Find out more.