Risk-adjusted return, Swiss rigor
Karko SA
Asset Management
Karko SA operates in the asset management sector, with the mission of supporting clients in the management, structuring, and value enhancement of their assets.
Our approach is grounded in a rigorous, strategic, and long-term vision. We pay close attention to understanding each client’s specific objectives, profile, and challenges in order to build a coherent and personalized management approach.
Through in-depth market analysis and disciplined asset management, Karko SA is committed to creating and preserving value, prioritizing high-quality decision-making, risk management, and the long-term viability of investments.
Our commitment is based on three essential principles: high standards, transparency, and trust.
Asset management designed to build value for the long term.


Balanced mandate
A diversified approach combining equities and bonds, optimized for stable growth with controlled volatility. Ideal for capital preservation.
Protective mandate
Priority is given to capital preservation and the generation of regular income. Prudent investments in low-risk, highly liquid assets.
Conviction-based mandate
For institutional investors seeking active outperformance based on targeted macroeconomic themes. Dynamic allocation and rigorous security selection.
Measuring performance, managing risk
99.8%
Control ratio
1.2x
Average liquidity
< 5%
Historical volatility
Request an institutional portfolio review.
Our experts are at your disposal to analyze your needs and structure an investment solution tailored to your objectives.
