Cash management solutions



For more than 20 years CPR Asset Management has offered cash management solutions that focus on liquidity and thorough risk control.
CPR AM offers a broad line of cash management solutions, with investment horizons ranging from a few days to two years.
Our managers invest in short-dated bonds from carefully selected issuers, certificates of deposit (issued by banks) and commercial paper (issued by companies).



CPR AM: LONG-STANDING AND WELL-REGARDED EXPERTISE IN MONEY-MARKET MANAGEMENT

Cash management funds are managed by CPR AM’s Fixed Income & Credit team, which consists of specialised managers (with an average of 12 years of experience) and credit analysts covering all sectors (and having 10 years of experience on average);
CPR AM’s money-market investment management has a solid track record and makes it one of the largest companies in terms of cash management AuM.



CASH MANAGEMENT AT CPR AM IN THREE KEY POINTS

CPR AM: ONE OF THE TOP PLAYERS ON THE CASH MANAGEMENT MARKET

A BROAD RANGE OF FUNDS WITH VARIOUS INVESTMENT HORIZONS

AN EXPERIENCED AND DEDICATED TEAM WITH AN AVERAGE OF MORE THAN 10 YEARS OF EXPERIENCE



Constant risk control

Securities are selected in compliance with money-market regulatory restrictions, as well as extremely strict internal risk monitoring rules on liquidity, ratings, maturities and other factors.

  • Liquidity risk management, as subscription and redemption flows may be heavy in money-market funds.
  • Interest-rate risk management with degrees of hedging varying from fund to fund.
  • Credit risk management with a risk-taking varying with market phases that have been identified.
  • Management of specific risks in tandem with an experienced credit research team that analyses issuers and sectors and gives the managers recommendations.

Cash management offers no performance guarantee and incurs a risk of loss of principal. The main risks incurred by bond and money-market instruments are interest-rate, credit and exchange rate risks. Refer to the fund’s legal documentation for detailed information on its risk profile.

Past performances are not a reliable indicator of future performances of the funds and of the funds manager.