Options & Derivatives
Bertrand Sluys has more than 25 years of experience in the financial markets working as Investment Strategist, Portfolio Manager and Proprietary Trader at BNP Paribas (Fortis). During his career, he has developed different strategies using derivatives. He has developed several in-house indicators to assess financial markets. The option strategies make use of the fractal theory (Mandelbrot) and behavioral finance. He also has an academic background as he’s giving lectures and courses at Universities, Business Schools and Financial Analysts graduate programs.
Luc Picarelle has more than 30 years of experience the financial markets as a private banker and portfolio manager at BNP parkas (Fortis). He has specialized in technical analysis and developed a risk on – risk off model based on technicals.
We relentlessly continue to assess financial markets and search for option strategies that improve performances. This is why we consider this also our financial R&D lab which improves our global portfolio management as Invest4Growth Asset Management Ltd. uses this in-house R&D to tackle the financial challenges that the world encounters in this New Normal Era after the financial crisis of 2007-2008.
Advantages of our option strategies & derivatives :
- Development of several models that help assess market conditions (Drawdown-model, Rally From Bottom model, Risk on – Risk off model, etc.)
- Active Portfolio Management
- Active Risk Management
- Supporting our partners in developing alternative strategies