Dedicated to excellence in asset management with a commitment to delivering superior results for our European clients.
prozican S.A. was established in Barcelona to address the growing demand for sophisticated asset management services across European markets. Our strategic location in Catalonia provides us with unique insights into both Mediterranean and broader European financial ecosystems.
Since our inception, we have focused on building long-term relationships with institutional and private clients, delivering consistent performance through disciplined investment processes and rigorous risk management.
Our commitment to regulatory compliance and transparent reporting has established us as a trusted partner for clients seeking professional asset management solutions in an increasingly complex financial landscape.
We are guided by core principles that shape every aspect of our client relationships and investment decisions.
To provide exceptional asset management services that preserve and grow our clients' wealth through disciplined investment strategies, comprehensive risk management, and unwavering commitment to fiduciary responsibility.
To be recognised as the leading asset management firm in Europe, known for our innovative investment solutions, exceptional client service, and sustainable long-term performance across all market cycles.
We maintain the highest ethical standards in all our business practices and client relationships, ensuring transparency and trust.
We strive for excellence in every aspect of our service delivery, from investment research to client communication.
Our clients' success is our primary objective, and we tailor our services to meet their unique financial goals and requirements.
Our team combines deep knowledge of European financial markets with global investment expertise, enabling us to deliver sophisticated solutions across diverse asset classes and market conditions.
Deep understanding of European regulatory frameworks, market dynamics, and investment opportunities.
Sophisticated quantitative models and risk management systems for optimal portfolio construction.
Team of seasoned investment professionals with extensive experience in institutional and private asset management.
We maintain strict adherence to all applicable regulations and industry standards to ensure the highest level of client protection and service quality.
Full compliance with MiFID II, GDPR, and other relevant European financial regulations.
Comprehensive risk management framework aligned with regulatory requirements and best practices.
Regular reporting and transparent communication with clients and regulatory authorities.
Regular internal and external audits to ensure compliance and operational excellence.
Discover how our expertise and commitment to excellence can help you achieve your asset management objectives.