Berglund Payton Group offers a complete suite of alternative investments strategies, founded on a worldwide outlook, comprehensive market information and thorough research.
Years of experience, an international network of business contacts and ample expertise in complex product infrastructure allow us to design tailor-made solutions to address investor needs and concerns.
Focused on delivering superior performance, our team of dedicated research specialists and financial advisors pinpoint and implement the most suitable strategies in order to help our investors achieve their investment objectives by creating value through tailor-made solutions which complement their specific requirements.
Berglund Payton Group applies a dynamically-managed, research-focused, fundamental approach in regards to investing in commodities.
We promote a wide spectrum of opportunities and use in-depth research to take advantage of the intrinsic inconsistencies of the commodities market. We offer efficient investment solutions to both private and corporate investors, drawing upon our specialists’ collective international experience and knowledge of commodity dynamics which provide us with a competitive edge.
We provide a broad suite of equity investment opportunities encompassing all major world markets, managed by our dedicated team of financial specialists, employing a rigorous approach.
Our international equity strategies include several different investment styles with separate risk vs. reward characteristics, dynamically investing in quality stocks according to their intrinsic values. We also offer solutions and strategies for profitable emerging market equities.
We concentrate on the dynamic management of international interest rates, currencies and credit strategies, applying our diversified approach thoroughly and consistently across all fixed incomes portfolios to identify the most efficient investment solutions.
We also provide multi-strategy fixed income solutions, which allow us to take advantage of the most profitable existing fixed income opportunities, adjusted accordingly to current market conditions.
We provide comprehensive international multi-asset solutions in pursuit of consistent growth and increased returns. Our strategies’ objectives are to add value via asset allocation based on thorough diversification and attentive security selection which in turn allows us to design optimized portfolios with attractive risk vs. return potential.
Towards this end we leverage all of the available assets at our disposal, ranging from equities, bonds, money market instruments, alternatives, convertible securities and a broad suite of funds.