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FGR	
  SA	
  Asset	
  Management	
  
 Working	
  for	
  your	
  financial	
  success!	
  
The	
  Company	
  
  Holding	
  the	
  na-onal	
  quality	
  standard!	
  
•  FGR	
  SA	
  is	
  an	
  independent	
  asset	
  management	
  company	
  based	
  in	
  
   Lugano,	
  Switzerland.	
  We	
  have	
  an	
  official	
  license	
  to	
  operate	
  as	
  a	
  
   financial	
  intermediary	
  and	
  we	
  are	
  affiliated	
  with	
  Polyreg,	
  an	
  
   associaDon	
  of	
  self-­‐discipline	
  recognized	
  by	
  the	
  Swiss	
  AssociaDon	
  
   of	
  Asset	
  Managers	
  (ASG).	
  
•  The	
  FGR	
  Invest	
  SA	
  counterpart	
  bank	
  for	
  trading	
  on	
  Forex	
  and	
  
   Futures	
  is	
  MIG	
  BANK.	
  
•  MIG	
  BANK	
  is	
  the	
  largest	
  Swiss	
  bank	
  specialized	
  in	
  online	
  Forex	
  
   (FX)	
  and	
  CFDs	
  trading	
  services	
  for	
  private	
  and	
  insDtuDonal	
  clients	
  
   with	
  ISO	
  9001	
  cerDficaDon	
  in	
  recogniDon	
  of	
  its	
  standardized	
  
   Quality	
  Management	
  best-­‐pracDces,	
  and	
  the	
  ISO	
  27001	
  
   cerDficaDon	
  for	
  standardized	
  InformaDon	
  Security	
  techniques.	
  
Our	
  services	
  
   Trading	
  solu-ons	
  tailored	
  to	
  your	
  needs!	
  
•  We	
  are	
  specialized	
  in	
  quanDtaDve	
  asset	
  management.	
  To	
  our	
  
   clients	
  we	
  offer	
  fiduciary	
  (tradiDonal	
  administraDve	
  and	
  
   organizaDonal	
  consulDng	
  services,	
  accounDng	
  management,	
  
   corporate	
  management,	
  consulDng	
  in	
  corporate	
  finance	
  
   transacDons	
  and	
  personal	
  services)	
  and	
  asset	
  management.	
  
•  The	
  two	
  cardinal	
  principles	
  of	
  the	
  philosophy	
  of	
  our	
  asset	
  
   management	
  are:	
  
     –  The	
  achievement	
  of	
  an	
  absolute	
  performance	
  within	
  the	
  calendar	
  year,	
  
        avoiding	
  any	
  reference	
  to	
  market	
  benchmark	
  that	
  could	
  penalize	
  the	
  
        investment	
  targets	
  of	
  our	
  Customers.	
  
     –  The	
  balanced	
  management	
  of	
  risk:	
  we	
  promote	
  a	
  steady	
  growth	
  of	
  the	
  
        por]olio	
  with	
  a	
  modest	
  volaDlity.	
  At	
  the	
  basis	
  of	
  our	
  risk	
  management	
  
        there	
  are	
  strict	
  rules	
  of	
  Money	
  Management,	
  which	
  allow	
  to	
  overcome	
  the	
  
        negaDve	
  moments	
  with	
  minimal	
  impact	
  on	
  the	
  Por]olio.	
  
Our	
  Investments	
  Products	
  
A	
  world-­‐wide	
  approach	
  for	
  your	
  investments	
  

•  All	
  our	
  products	
  are	
  based	
  on	
  proprietary	
  algorithms.	
  	
  
•  All	
  FGR	
  por]olios	
  are	
  not	
  based	
  on	
  standard	
  
   technical	
  analysis,	
  but	
  on	
  innovaDve	
  approaches	
  that	
  
   exploit	
  the	
  	
  most	
  recent	
  achievements	
  in	
  the	
  
   computer	
  and	
  in	
  the	
  staDsDcal	
  analysis	
  fields.	
  
•  We	
  developed	
  two	
  lines	
  with	
  different	
  risk	
  profiles:	
  
    1.  Moderately	
  aggressive	
  (dal	
  2002-­‐2012)	
  
    2.  Aggressive	
  (2010-­‐2012)	
  
Risk	
  Profile	
                                  Investment	
  Style	
  
                              Your	
  primary	
  goal	
  is	
  capital	
  protecDon.	
  You	
  require	
  
     ConservaCve	
            stable	
  growth	
  and/or	
  a	
  high	
  level	
  of	
  income,	
  and	
  
                              access	
  to	
  your	
  investment	
  within	
  3	
  years.	
  
                              Your	
  primary	
  goal	
  is	
  capital	
  protecDon.	
  Investors	
  in	
  
                              this	
  risk	
  profile	
  require	
  fairly	
  stable	
  growth	
  and/or	
  a	
  
       CauCous	
              moderate	
  level	
  of	
  income.	
  Your	
  investment	
  term	
  is	
  3	
  
                              years	
  or	
  more.	
  
                              Your	
  primary	
  goal	
  is	
  capital	
  growth.	
  You	
  can	
  tolerate	
  
                              some	
  fluctuaDons	
  in	
  the	
  value	
  of	
  your	
  investment	
  in	
  
       Moderate	
             anDcipaDon	
  of	
  a	
  higher	
  return.	
  You	
  don’t	
  require	
  an	
  
                              income	
  and	
  you	
  are	
  prepared	
  to	
  invest	
  for	
  5	
  years	
  or	
  
                              more.	
  
                              Your	
  primary	
  goal	
  is	
  capital	
  growth.	
  Investors	
  in	
  this	
  
                              risk	
  profile	
  can	
  tolerate	
  a	
  fair	
  level	
  of	
  fluctuaDons	
  in	
  
Moderatly	
  aggressive	
     the	
  value	
  of	
  the	
  investment	
  in	
  anDcipaDon	
  of	
  possible	
  
                              higher	
  return.	
  You	
  don’t	
  require	
  an	
  income	
  and	
  you	
  
                              are	
  prepared	
  to	
  invest	
  for	
  5	
  to	
  10	
  years.	
  
                              Your	
  primary	
  goal	
  is	
  long-­‐term	
  capital	
  growth.	
  You	
  
                              can	
  tolerate	
  substanDal	
  fluctuaDons	
  in	
  the	
  value	
  of	
  
      Aggressive	
            your	
  investment	
  in	
  the	
  short-­‐term	
  in	
  anDcipaDon	
  of	
  
                              the	
  highest	
  possible	
  return	
  over	
  a	
  period	
  of	
  10	
  years	
  
                              or	
  more.	
  
Moderate	
  Risk	
  Profile	
  
            Year	
                          Performance	
             •  All	
  years	
  have	
  a	
  posiDve	
  
          2002*	
                                   2,10%	
              return	
  
           2003	
                                  20,40%	
  
                                                                      •  Average	
  yearly	
  
           2004	
                                  14,90%	
              performance	
  20,9%	
  
           2005	
                                  16,60%	
  
           2006	
                                   9,00%	
           •  Max	
  drawdown	
  -­‐3,1%	
  
           2007	
                                  10,30%	
  
           2008	
                                  33,70%	
           •  The	
  returns	
  are	
  net	
  of	
  
           2009	
                                  24,40%	
              trading	
  commissions	
  and	
  
                                                                         performance	
  fees	
  
           2010	
                                  44,90%	
  
           2011	
                                  30,40%	
  
          2012**	
                                  2,60%	
  
*	
  Since	
  25	
  October	
  2002	
  
**Current	
  Year,	
  last	
  update	
  12th	
  October	
  2012	
  
Aggressive	
  Risk	
  Profile	
  
             Year	
                        Performance	
                        Drawdwon	
  
            2010	
                                   21,9%	
                           -­‐9,8%	
  
            2011	
                                  114,2%	
                         -­‐12,4%	
  
            2012*	
                                  70,7%	
                           -­‐4,4%	
  
*	
  Current	
  Year,	
  last	
  update	
  2nd	
  November	
  2012	
  
                                                                         •  All	
  years	
  have	
  a	
  posiDve	
  
                                                                            return	
  
                                                                         •  Average	
  yearly	
  
                                                                            performance	
  68,6%	
  

                                                                         •  The	
  returns	
  are	
  net	
  of	
  
                                                                            trading	
  commissions	
  and	
  
                                                                            performance	
  fees	
  
Our	
  relaConship	
  with	
  the	
  Investors	
  
     In	
  the	
  jungle	
  of	
  the	
  markets	
  we	
  focus	
  on	
  
                        individual	
  needs	
  




      The	
  relaDonship	
  of	
  FGR	
  ASSET	
  
  MANAGEMENT	
  SA	
  with	
  the	
  Investors	
  is	
  
   based	
  on	
  the	
  following	
  cornerstones	
  
Win-­‐to-­‐win	
  
    The	
  are	
  no	
  iniDal,	
  deferred,	
  
      redempDon	
  sale	
  fees	
  	
  

 FGR	
  SA	
  management	
  fees	
  are	
  
proporDonal	
  to	
  our	
  performance	
  

No	
  performance	
  no	
  gain	
  for	
  FGR!	
  
Confidence	
  
The	
  money	
  is	
  on	
  a	
  bank	
  account	
  	
  in	
  the	
  
                name	
  of	
  the	
  Investor:	
  	
  
it	
  can	
  only	
  be	
  transferred	
  by	
  the	
  Owner	
  


 	
  Only	
  trading	
  operaDons	
  are	
  
             allowed	
  to	
  FGR	
  SA	
  
Openess	
  
At	
  any	
  Dme	
  the	
  Investor	
  may	
  connect	
  to	
  	
  
           its	
  bank	
  account	
  and	
  check	
  


                      the	
  status	
  

         the	
  performance	
  of	
  the	
  
                 investments	
  
Contacts	
  
Via	
  dei	
  Gorini	
  2	
  6901	
  Lugano-­‐Svizzera	
  
Web	
  www.fgrinvest.ch	
  
Mail	
  info@fgrinvest.ch	
  	
  

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FGR SA Company Presentation

  • 1. FGR  SA  Asset  Management   Working  for  your  financial  success!  
  • 2. The  Company   Holding  the  na-onal  quality  standard!   •  FGR  SA  is  an  independent  asset  management  company  based  in   Lugano,  Switzerland.  We  have  an  official  license  to  operate  as  a   financial  intermediary  and  we  are  affiliated  with  Polyreg,  an   associaDon  of  self-­‐discipline  recognized  by  the  Swiss  AssociaDon   of  Asset  Managers  (ASG).   •  The  FGR  Invest  SA  counterpart  bank  for  trading  on  Forex  and   Futures  is  MIG  BANK.   •  MIG  BANK  is  the  largest  Swiss  bank  specialized  in  online  Forex   (FX)  and  CFDs  trading  services  for  private  and  insDtuDonal  clients   with  ISO  9001  cerDficaDon  in  recogniDon  of  its  standardized   Quality  Management  best-­‐pracDces,  and  the  ISO  27001   cerDficaDon  for  standardized  InformaDon  Security  techniques.  
  • 3. Our  services   Trading  solu-ons  tailored  to  your  needs!   •  We  are  specialized  in  quanDtaDve  asset  management.  To  our   clients  we  offer  fiduciary  (tradiDonal  administraDve  and   organizaDonal  consulDng  services,  accounDng  management,   corporate  management,  consulDng  in  corporate  finance   transacDons  and  personal  services)  and  asset  management.   •  The  two  cardinal  principles  of  the  philosophy  of  our  asset   management  are:   –  The  achievement  of  an  absolute  performance  within  the  calendar  year,   avoiding  any  reference  to  market  benchmark  that  could  penalize  the   investment  targets  of  our  Customers.   –  The  balanced  management  of  risk:  we  promote  a  steady  growth  of  the   por]olio  with  a  modest  volaDlity.  At  the  basis  of  our  risk  management   there  are  strict  rules  of  Money  Management,  which  allow  to  overcome  the   negaDve  moments  with  minimal  impact  on  the  Por]olio.  
  • 4. Our  Investments  Products   A  world-­‐wide  approach  for  your  investments   •  All  our  products  are  based  on  proprietary  algorithms.     •  All  FGR  por]olios  are  not  based  on  standard   technical  analysis,  but  on  innovaDve  approaches  that   exploit  the    most  recent  achievements  in  the   computer  and  in  the  staDsDcal  analysis  fields.   •  We  developed  two  lines  with  different  risk  profiles:   1.  Moderately  aggressive  (dal  2002-­‐2012)   2.  Aggressive  (2010-­‐2012)  
  • 5. Risk  Profile   Investment  Style   Your  primary  goal  is  capital  protecDon.  You  require   ConservaCve   stable  growth  and/or  a  high  level  of  income,  and   access  to  your  investment  within  3  years.   Your  primary  goal  is  capital  protecDon.  Investors  in   this  risk  profile  require  fairly  stable  growth  and/or  a   CauCous   moderate  level  of  income.  Your  investment  term  is  3   years  or  more.   Your  primary  goal  is  capital  growth.  You  can  tolerate   some  fluctuaDons  in  the  value  of  your  investment  in   Moderate   anDcipaDon  of  a  higher  return.  You  don’t  require  an   income  and  you  are  prepared  to  invest  for  5  years  or   more.   Your  primary  goal  is  capital  growth.  Investors  in  this   risk  profile  can  tolerate  a  fair  level  of  fluctuaDons  in   Moderatly  aggressive   the  value  of  the  investment  in  anDcipaDon  of  possible   higher  return.  You  don’t  require  an  income  and  you   are  prepared  to  invest  for  5  to  10  years.   Your  primary  goal  is  long-­‐term  capital  growth.  You   can  tolerate  substanDal  fluctuaDons  in  the  value  of   Aggressive   your  investment  in  the  short-­‐term  in  anDcipaDon  of   the  highest  possible  return  over  a  period  of  10  years   or  more.  
  • 6. Moderate  Risk  Profile   Year   Performance   •  All  years  have  a  posiDve   2002*   2,10%   return   2003   20,40%   •  Average  yearly   2004   14,90%   performance  20,9%   2005   16,60%   2006   9,00%   •  Max  drawdown  -­‐3,1%   2007   10,30%   2008   33,70%   •  The  returns  are  net  of   2009   24,40%   trading  commissions  and   performance  fees   2010   44,90%   2011   30,40%   2012**   2,60%   *  Since  25  October  2002   **Current  Year,  last  update  12th  October  2012  
  • 7. Aggressive  Risk  Profile   Year   Performance   Drawdwon   2010   21,9%   -­‐9,8%   2011   114,2%   -­‐12,4%   2012*   70,7%   -­‐4,4%   *  Current  Year,  last  update  2nd  November  2012   •  All  years  have  a  posiDve   return   •  Average  yearly   performance  68,6%   •  The  returns  are  net  of   trading  commissions  and   performance  fees  
  • 8. Our  relaConship  with  the  Investors   In  the  jungle  of  the  markets  we  focus  on   individual  needs   The  relaDonship  of  FGR  ASSET   MANAGEMENT  SA  with  the  Investors  is   based  on  the  following  cornerstones  
  • 9. Win-­‐to-­‐win   The  are  no  iniDal,  deferred,   redempDon  sale  fees     FGR  SA  management  fees  are   proporDonal  to  our  performance   No  performance  no  gain  for  FGR!  
  • 10. Confidence   The  money  is  on  a  bank  account    in  the   name  of  the  Investor:     it  can  only  be  transferred  by  the  Owner    Only  trading  operaDons  are   allowed  to  FGR  SA  
  • 11. Openess   At  any  Dme  the  Investor  may  connect  to     its  bank  account  and  check   the  status   the  performance  of  the   investments  
  • 12. Contacts   Via  dei  Gorini  2  6901  Lugano-­‐Svizzera   Web  www.fgrinvest.ch   Mail  info@fgrinvest.ch