Costanera

Financial

We manage a broad portfolio of global investments in the world’s leading investment banks. The main objective of this business is to conserve and increase the assets under management with a conservative and uncorrelated risk-return ratio of our investments in real businesses, so we prefer investments in developed countries.

Our financial structure is solid, with no debt, which allows us to take advantage of major business opportunities and maintain a strategic position in the global market.

We manage a broad portfolio of global investments in the world’s leading investment banks. The main objective of this business is to conserve and increase the assets under management with a conservative and uncorrelated risk-return ratio of our investments in real businesses, so we prefer investments in developed countries.

Our financial structure is solid, with no debt, which allows us to take advantage of major business opportunities and maintain a strategic position in the global market.

Financial

2nd area

most important of our group

20 years

managing a portfolio of global investments in the world's leading investment banks

4 countries

Chile, Luxembourg, USA and UK

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