In order to generate a significant outperformance, SYZ & CO has adapted management techniques from the institutional world, which are more rigorous and allow volatility to be reduced.
SYZ & COs asset allocation is based on a set of quantitative forecasting models called "fog-lights", which provides clear and reliable signals for action.
When selecting securities, the SYZ & CO Research and Analysis team bases its "bottom-up approach on a "value" philosophy. The SYZ & CO analysis is solely "buy-side" and is characterized by a total absence of conflicts of interest.
We can make available to you a selection of the surveys performed by our analysts. You can register on our mailing list to receive them automatically
Click here for more information regarding our methodology principles on financial analysis |