Investment strategy – MORE portfolio management

“Purchasing quality and negotiable assets rather than chasing returns”

This strategy has proven itself for years, as resulted in our clients’ investment portfolios and achieved at low standard deviation. We believe in level-headed investment management, taking low risk levels in relation to the required return and compliance with the customer’s needs.


The analysis process in the portfolio management company of MORE Investment House starts by analyzing economies in Israel and worldwide, taking into account the growth potential and rates of world’s leading economics, inflation expectations & level, employment levels, interest rates & predictions of major banks, etc.


Thereafter, we examine which channels, shares, sectors and countries are preferable for investment, and what is the best “dosage” of each of them.


In order to make the best possible investment management we are assisted by the analyses of leading Israeli and global entities, as well as sophisticated analysis systems and tools.

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