Varengold Asset Management
Our mission – “searching for talents”. Varengold is not satisfied with being average. Only when you can gain the world’s best for yourself can you achieve above-average results.
Our core competence is asset management using alternative investments. Particularly in the context of low interest rates and insecure risk premiums, market-independent returns on investment through an actively managed alternative investment component can make a valuable contribution to sustainably achieving investment goals.
Varengold is one of Europe’s most experienced financial institutions in the field of alternative investments and thus plays a pioneering role in Germany. We stand for state-of-the-art technologies and comprehensive customer service. The trust of our investors and our long-standing customer relationships highlight and confirm our success.
The fact that we are pioneers in Germany is shown by our previous successes, including with our own trading strategies, which have achieved top rankings when compared on an international level. Today, we offer our institutional investors comprehensive services in the field of alternative investments.
Institutional customers benefit, among other things, from Varengold’s established research network and unique investment process. Beginning with a clearly defined, individually customised profile, the path starts with a comprehensive market overview, involves the development of a long-list and shortlist, and ends with a "beauty contest". Both quantitative and qualitative criteria are applied in the evaluation procedure, which is transparent for the customer at all times. Thanks to the modular structure, a customised solution can be developed to suit all of the institutional investors’ needs. Varengold provides the right setup for these solutions from their development and implementation to on-going risk management and control.
Our Asset Management team possesses decades of expertise that is unique in Germany, which it employs to analyse the needs of our customers and maximise portfolio returns.