Our investment solutions

A strategy for each asset

We invest differently according to our objectives, criteria, and constraints. Building wealth or simply safeguarding your capital from erosion imply the deployment of distinct strategies. Our tailor-made solutions therefore reflect the diversity of your needs.

As a subsidiary of IRIS Finance International Group, we have a unique access to investment funds that have proven to be reliable, effective, and valuable over time. We do not hesitate to include this source of added value within our portfolios.

IRIS AVENIR

Actively managed international strategy

Managed by IRIS Finance, this FCP fund aims to deliver annual performances above 4% (net of fees) over a minimum 5-year investment horizon. Managed with no regional bias or sector constraints, the strategy is not correlated with a market index.

 

MONTHLY ANALYSIS

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IRIS EUROPE

An FCP with a focus on European equities

Employing an opportunistic and flexible approach to asset allocation and the management of equity risk, this FCP fund managed by IRIS Finance seeks to deliver returns above those of the benchmark, the EURO STOXX 50 NET RETURN EUR (total return). Investment horizon: 5 years minimum.

MONTHLY ANALYSIS

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IRIS AVENIR

DICI

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IRIS EUROPE

DICI

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IRIS AVENIR

PROSPECTUS

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IRIS EUROPE

PROSPECTUS

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