Reducing risk, increasing returns
Asset management
The goal of portfolio management is to reduce investment risks and increase investors’ returns, and we at Pooliran, with the help of our analysis team with a history of educational degrees and work in the most prestigious institutions and companies in the world, offer the following:
Everything you need
Analysis and review of different markets and assets
Determining investment strategy and portfolio management
Choosing the right assets for investment
Adjusting investment ratios in different assets in the form of a portfolio
Risk management and control of investment risks
Execution of buying and selling trades in different markets
Evaluating portfolio performance and providing related reports to investors
Providing consulting and support services to investors
Following market developments and various assets and updating the investment strategy in time
Overall, portfolio management is very important and, if done correctly, can significantly improve investors’ profitability and investment risks.
For portfolio management, various analyzes such as market analysis, risk analysis, technical analysis, and technical analysis must be done carefully.
Also, the type of investment and the percentage of investment in each type of investment instrument should be carefully determined. To increase investment returns and reduce risk, investment diversification is one of the important methods of portfolio management.
Also, the investment portfolio should be carefully monitored so that necessary changes can be made if necessary.
Why Pooliran?
Our benefits
Comprehensive analysis
The best coverage of the markets
Instant monitoring of assets
Unique data
Smart management
Easy access
Clear and up-to-date
Procedures for placing an order
Various payment methods