Fund
Management

PAM provides fund management services to any kind of fund structures such as UCITS and Professional Investor Funds.

Individual Portfolio Management 

PAM offers Discretionary Investment Account Management services, with strong emphasis on meeting cleints' needs.

Investment Advisory Services

PAM is also qualified to offer professional advisory services with respect to investment decisions relating to funds and investments.

Praude Philosophy

Praude was conceived from the idea that the professional management of a portfolio could be of benefit to an investor, only if and to the extent that, such management will effectively achieve positive performance. Within the context of the risks undertaken, such performance would be expected to possibly surpass those of relevant indices.

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Hermes
Key fund facts

  • As at 20/10/2020

    • Total Nav
    • €217.905 M
    • Price
    • €4,788.699
    • Net change from previous NAV
    • 0.327%
    • YTD
    • -14.28%

The fund will achieve this objective by investing most of its assets in securities quoted on the major exchanges worldwide.

Under normal circumstances, the Fund holds a significant proportion of its assets in equities of undervalued companies, holding approximately 20% of the equity portfolio in highly liquid securities...

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Altinum
Key fund facts

  • As at 14/10/2020

    • Total Nav
    • €35.571M
    • Price
    • €120.739
    • Net change from previous NAV
    • 0.74%
    • YTD
    • 1.05%

The Fund will strive to attain its investment objective by investing primarily in listed equities, bonds, derivatives financial instruments and to a limited extent in unlisted asset classes. Depending on market conditions, the Fund may also invest in cash or money market instruments. The Fund's investments will have no geographical bias or be restricted to...

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Pure Equity
Key fund facts

  • As at 14/10/2020

    • Total Nav
    • €22.690M
    • Price
    • €957.33
    • Net change from previous NAV
    • 1.75%
    • YTD
    • -18.43%

Praude Total Return
Key fund facts

  • As at 14/10/2020

    • Total Nav
    • €38.912M
    • Price
    • €854.79
    • Net change from previous NAV
    • 0.83%
    • YTD
    • -16.00%

PRAUDE ASSET MANAGEMENT LTD IS AUTHORISED AND REGULATED BY THE MALTA FINANCIAL SERVICES AUTHORITY TO PROVIDE INVESTMENT SERVICES AND TO HOLD AND CONTROL CLIENTS' MONEY AND ASSETS.

THE CONTENTS OF THIS WEBSITE, AND THE DOCUMENTS UPLOADED THERETO, DO NOT CONSTITUTE, AND SHOULD NOT BE CONSTRUED AS CONSTITUTING, INVESTMENT ADVICE. YOU SHOULD NOTE THAT YOUR DECISION AS TO WHETHER TO INVEST IN ANY OF THE COLLECTIVE INVESTMENT SCHEMES MENTIONED ON THIS WEBSITE AND/OR TO AVAIL OF OUR INVESTMENT SERVICES, MAY HAVE LEGAL, FINANICAL AND/OR TAX IMPLICATIONS FOR YOU. YOU ARE URGED TO SEEK INDEPENDENT LEGAL, FINANCIAL AND/OR TAX ADVICE BEFORE INVESTING. PRAUDE ASSET MANAGEMENT LIMITED AND THE COLLECTIVE INVESTMENT SCHEMES IT MANAGES DO NOT HAVE, AND WILL NOT ACCEPT, ANY LIABILITY TO YOU IF, AMONGST OTHERS, YOU BREACH ANY LAW OR REGULATION BY INVESTING AND/OR YOU LOSE MONEY BY INVESTING.