Azzilon uses well-known methodologies to reduce the risk and/or enhance portfolio returns at low transaction and management costs. Azzilon's portfolio constituents are also prioritized based on their Environmental, Social and Corporate Governance scores. Measuring ethical impacts of underlying assets along with risk will always be key factors of its portfolios. Once a portfolio has been constructed, it can be used as a management tool or as an index portfolio.
Azzilon is a Singapore registered Institutional Portfolio Management firm specializing in the construction of fully customized indexed Portfolios for financial institutions. Our primary goal is to assist financial institutions in reaching their specific investment objectives and enhance the overall performance of a portfolio, by optimizing the risk-return ratio, reducing excessive volatility risk and improving the asset allocation strategy.
As a responsible investment manager Azzilon pays particular attention to environmental, social and governance (ESG) factors throughout the portfolio construction process.
Using the most up to date financial engineering and portfolio construction methodologies Azzilon continually evolves and is acutely focused on research & development to improve the risk-return ratio of constructed portfolios.