We are proud of our performance.

Each of our clients is as unique as each individual’s investment strategy. And so no two managed portfolios are alike. The investment ideas we develop are matched to the customer’s specific needs. Customized asset management is the core strength of Baryon. Nonetheless, a clear signature of our investment strategy is apparent.

At Baryon we strive to present a quantifiable performance to clients and prospects. Even though we manage the portfolios entrusted to us individually, we have calculated the un-weighted average performance and made a comparison with the MSCI World benchmark.

Section of 'Baryon AG', 2000, Rolf Ziegler

When making performance comparison, it should be noted that our figures are calculated after all fees have been deducted. The MSCI World index on the other hand is always excluding charges, making a direct comparison even more challenging.

 

Cumulated performance (Baryon   vs. Benchmark )

 

Comparison
Comparison as per
Benchmark
April 2013
Equities World (MSCI Free)
Year Period Cumulated
  Performance Benchmark Performance Benchmark
2013  April 9.5 % 11.9 % 16.2 % -39.3 %
2012 13.0 % 10.8 % 6.1 % -45.8 %
2011 -13.1 % -7.3 % -6.1 % -51.0 %
2010 9.9 % -1.2 % 8.0 % -47.2 %
2009 11.6 % 23.3 % -1.7 % -46.5 %
2008 -29.7 % -45.5 % -11.9 % -56.6 %
2007 20.2 % -0.7 % 25.3 % -20.4 %
2006 15.1 % 9.5 % 4.3 % -19.8 %
2005 21.4 % 24.0 % -9.4 % -26.8 %
2004 4.7 % 3.6 % -25.4 % -41.0 %
2003 22.7 % 17.6 % -28.7 % -43.0 %
2002 -25.7 % -34.3 % -41.9 % -51.5 %
2001 -12.9 % -15.6 % -21.8 % -26.3 %
2000 -10.2 % -12.7 % -10.2 % -12.7 %