Optimum Asset Management is a quantitative and credit firm that allies micro and macroeconomic analysis. We redefine investment strategies by combining our high technical expertise with our unique business intelligence technology in Canada, while incorporating responsible investment principles into our portfolio management.
Our strategies are elaborated both to design the future and to meet today’s needs. We work closely with our clients to provide enlightened advices that meet everyone’s specific needs, regardless of the complexity. We use information modeling in our decision-making process to optimize performance while integrating one of the most advanced risk management. Our strategies rely on exclusive intelligence technology, stemming from internal research and development, to optimize our portfolio management services. This technology gives us an undeniable advantage because it allows us to quickly evaluate the true value of securities while exploiting real-time appealing investment opportunities.
With over 30 years of tradition and excellence, we have assembled a team of professionals with a high level of expertise from various spheres of the financial and technological areas. Our team’s presence in three countries gives us a privileged access to different markets, adding to our culture of excellence and our client proximity. Optimum Asset Management is a subsidiary of Optimum Group, a private and diversified financial group with international operations.