Transform uncertainty into strategic opportunity.
Managing Market Volatility
Protect and develop your wealth even in turbulent markets. Our risk management approach helps you stay on course towards your long-term goals despite short-term fluctuations.

"We do not suffer the markets; we navigate them with conviction. Our independence allows us to remain faithful to a long-term course, while others are constrained by the dictatorship of the moment."
Ricardo Castillo
Head of Investments


"We do not suffer the markets; we navigate them with conviction. Our independence allows us to remain faithful to a long-term course, while others are constrained by the dictatorship of the moment."
Ricardo Castillo
Head of Investments
Does your strategy reconcile capital preservation with seizing market opportunities?
Phases of high volatility test the robustness of your allocation. The danger is twofold: inertia or emotional reaction. To navigate these turbulence zones, you need active management capable of distinguishing market noise from intrinsic value, with the following advantages:
- Dynamic asset allocation.
- Downside protection strategies.
- Opportunistic rebalancing.
- Remaining faithful to your long-term strategy during periods of high fluctuation.
"With nearly 2,400 billion francs of cross-border assets under management, Switzerland remains the world leader in wealth management. This international acclaim confirms that Swiss stability and the expertise of its bankers remain the best bulwark for perpetuating and prospering mobile wealth."
Source: Swiss Banking / Boston Consulting Group - Global Wealth Report



Your Dedicated Advisory Team
Get personalized guidance from our experienced wealth advisors who understand your unique needs.
Ready to Discuss Your Goals?
Share your details and a dedicated Relationship Manager will reach out to understand your needs and explore how we can help.
How We Solve This
Our proven process ensures comprehensive solutions tailored to your situation
Risk Tolerance Assessment
We analyze your true tolerance for fluctuations and adjust your portfolio accordingly.
Resilient Portfolio Construction
We diversify your portfolio with defensive assets, alternatives, and hedging strategies.
Pre-defined Crisis Plan
We establish clear protocols for periods of high volatility to avoid emotional decisions.
Ongoing Monitoring & Communication
During volatile periods, we intensify communications to keep you informed and reassured.
Mirabaud at a Glance
Assets Under Management
Professionals to support your goals
Clients in more than 40 countries
Generations serving our customers
How We Work
At your service, a specialized team and cutting-edge digital tools
Relationship Manager
Your primary contact for all banking needs
Wealth Planner
Expert in wealth planning and advice
Portfolio Manager
Investment specialist managing your assets
Investment Advisor
Provides tailored investment recommendations
700+ Professionals
Our Group at your service, in Switzerland and beyond
Your Next Step
Choose the path that best fits where you are in your wealth journey