Agora Investments SGR S.p.A. is largely owned by its own Management and is not part of any banking or insurance group. The investment strategies and products of the Company are therefore conceived and implemented in total autonomy, in the interest of investors. The company consequently lacks the conflicts of interest typical of those intermediaries (banks) which include both savers and large companies that issue financial instruments among their customers.
Our Management it is made up of professionals with proven experience in the field of finance and capital markets, gained from primary institutions in Italy and abroad. Our employees and collaborators are asked for maximum commitment and results. Agora Investments, as an independent company on the asset market managed in Italy, has no position income to defend and entrusts its future exclusively to the results achieved on behalf of its customers.
It is required of our Management, of our employees and collaborators to comply with the highest standards of professional ethics. We believe in Transparency as a value in itself but also as a means of maintaining lasting relationships of fairness between us and our customers. The management fees applied in total transparency on our mutual funds and on our asset management represent the only source of revenues for the Company.
The shareholding of Agora Investments SGR S.p.A. is largely made up of its own Management. In addition, the Management invests in the same products and management strategies as the company. By specializing in "flexible" strategies, the SGR assumes responsibility for making the most significant management choices on behalf of its customers.