SAI Atlas Asset Management SA

Investment funds

Authorized by the Romanian Financial Supervisory Authority (ASF) to administer open investment funds (FDI), as well as alternative investment funds (AIF).

Current value of fund units

who we are

FINANCIAL services you can trust.

Professionalism, experience, transparency, diversification, novelty, are the words that define the management and the ATLAS ASSET MANAGEMENT team. ATLAS ASSET MANAGEMENT.

Providing professional, efficient services as well as presenting original solutions are the main objectives of the team  ATLAS ASSET MANAGEMENT SA

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What we do

We offer customized investment solutions to meet the needs and objectives of each client. We represent a diverse range of investment funds, each with well-defined and success-oriented strategies.

Our mission

Our mission is to improve the lives of investors through efficient and transparent asset management. We believe in building sustainable partnerships based on trust and performance.

Our Services

Personalized Consulting

Every client is unique and our team of experts is ready to provide personalized advice to maximize investment returns.

Diversification of the Portfolio

We offer access to a wide range of investment funds, including equity funds, bond funds, money market funds and mixed funds, to ensure optimal portfolio diversification.

Active Management

We constantly monitor and adjust investment portfolios to ensure they remain aligned with our clients' financial goals and market conditions.

Expertise

Our team has extensive investment experience and a deep understanding of the financial markets

Why Choose Us?

  • Expertise: Our team has extensive investment experience and a deep understanding of the financial markets.
  • Transparency: We communicate openly and transparently with our customers, providing detailed reports and regular updates.
  • Performance: We are dedicated to achieving superior results through well-informed and precisely executed investment strategies.
*The yield includes the benefits distributed for the year 2023 (EUR 3,939.08 / unit – gross)
**The yield includes the benefits distributed for the year 2023 (3,939.08 EUR/unit – gross) and for the year 2022 (3,324.71 EUR/unit – gross)
***The return includes all benefits distributed since launch, for the year 2023 (EUR 3,939.08/unit - gross), for the year 2022 (EUR 3,324.71/unit - gross), for the year 2021 (EUR 2,140.03/unit - gross), for the year 2019 (EUR 2,243.11/unit - gross) and for the year 2017 (EUR 1,409.59/unit - gross)