Features

Discover how Mestral Invest helps you outperform the market with our data-driven approach to equity fund selection.

Superior Returns

Our portfolio consistently outperforms global benchmarks by selecting only the best rated equity funds.

Through rigorous analysis and selection criteria, our portfolio has achieved an average annual return of 18.7% over the past 5 years, compared to 11.2% for the MSCI World Index.

Data-Driven Selection

Our proprietary algorithm analyzes thousands of funds to select only those with proven track records.

We evaluate over 5,000 equity funds globally using 20+ performance metrics including risk-adjusted returns, downside protection, and consistency of performance across market cycles.

Regular Updates

We continuously monitor and update our portfolio to ensure it contains only the best performing funds.

Our portfolio is reviewed monthly and updated quarterly to maintain optimal performance. This ensures you're always invested in funds that are currently outperforming, not just those that performed well in the past.

Risk Management

Our selection process prioritizes funds with strong downside protection and consistent performance.

We don't just chase returns – we prioritize funds that deliver strong risk-adjusted performance. Our portfolio has demonstrated 30% less volatility than global equity indices during market downturns.

Diversification

Our portfolio provides exposure to various regions, sectors, and investment styles.

The Mestral Invest portfolio includes funds focused on different geographic regions, market capitalizations, and investment approaches, providing you with comprehensive global equity exposure.

Expert Management

Our funds are managed by some of the world's most successful portfolio managers.

We identify funds with exceptional management teams that have demonstrated consistent outperformance over extended periods, often across multiple market cycles.

Ready to start outperforming the market?