EQUITIES

Robust. Fundamental. Dynamic.

Our teams exercise independent thought with high conviction, resulting in portfolios that we believe are well positioned to address our clients' challenges – all within robust risk control frameworks.

icon-cashEurov3

€205.8bn
Equities Assets Under Management

vd-icon_People_3_Group v3

155
Equities Investment
Professionals

vd-icon_Bulleye_Target v3

20
Average Years’ Financial
Industry Experience

As at 31 March 2024

<span class="notranslate">no data</span>

€205.8bn
Equities Assets Under Management

155
Equities Investment
Professionals

20
Average Years’ Financial
Industry Experience

As at 31 March 2024

We measure success by a single factor: client outcomes. As a pure asset manager, our sole mission is to deliver consistent long-term risk-adjusted returns that exceed our benchmarks and peers, regardless of the prevailing investment landscape.

Featured strategies

Global Sustainable Equity

By focusing on companies that have a positive impact on the environment and society, our low-carbon investment approach aims to deliver compounding growth and attractive investment returns.

All-Cap Emerging Market Equity

A style-agnostic strategy that blends top-down macro analysis with bottom-up stock selection aims to identify attractive opportunities in a volatile asset class.


Pan-European Equity

A large cap core Pan European equities strategy.



Insights

Identifying AI opportunities in healthcare

Artificial intelligence is only beginning to make inroads into the healthcare sector. Here’s how investors might benefit today.

Global Perspectives: Tapping into a broad set of growth drivers in mid-caps

While diverse growth opportunities exist in mid-cap stocks, we believe a selective approach with valuation discipline is warranted.

European espresso: Growth trends in skincare and fragrances

Can skincare and fragrances buck the trend within European consumer staples?

Institutional Insights
Sign up to get relevant content delivered straight to your inbox.