Acadian specialises in active multifactor global and regional equity strategies, employing sophisticated analytical models for active stock selection. Our proprietary database covers over 40,500 securities in more than 100 markets worldwide. We believe our competitive advantages are based upon an experienced, collegial and diverse investment team and state of the art technology that has been refining our systematic multi-factor investment process for over 30 years. Acadian's extensive research capabilities are used to develop customized investment management solutions for our clients. As of 31 December 2018 we manage over €72.5bn in assets on behalf of institutional investors, including €12.5bn on behalf of European investors.
Comgest is an independent, international asset management group with headquarters in Paris and offices in Amsterdam, Boston, Dublin, Düsseldorf, Hong Kong, Singapore, Tokyo and a representative office in London. Since inception in 1985, Comgest has pursued a long-term ‘Quality Growth' and responsible investment style with the objective of selecting quality companies with solid prospects for sustainable growth. With more than 150 employees of 30 different nationalities, Comgest serves a diverse global client base and manages assets of over $29.4 billion (31 December 2018).
Eurizon is a leading European asset manager offering a wide range of diversified products with a broad repertoire of management philosophies and styles, and risk-return profiles.
Eurizon Capital SGR is the Asset Management Division Company of the Intesa Sanpaolo Group. In Europe, Eurizon controls Eurizon Capital S.A., a Luxembourg-based asset manager, Epsilon SGR, a quantitative asset manager, the Eastern Europe regional hub of asset management companies, and, in the UK, Eurizon SLJ Capital LTD. Eurizon is active in Asia through Eurizon Capital (HK) Limited, a wholly-owned subsidiary company based in Hong Kong and it holds stakes in Penghua Fund Management, (49%), one of the leading Chinese asset managers.
Founded in 1991, La Financière de l'Echiquier is one of the foremost independent asset management companies in France, currently based in 9 countries. After the strategic partnership with Primonial's Group in 2018, La Financière de l'Echiquier manages € 11 billion, offering a diversified range of funds. As Enterprise-picker, the company proposes investment solutions mainly on equity markets, corporate bonds and convertible bonds for both private and institutional investors. Its investment management approach is based on an in-depth knowledge of the companies in which it invests. In addition, La Financière de l'Echiquier has been actively engaged in Socially Responsible Investment (SRI) since 2007: it offers two SRI-funds and all UCITS funds actively managed by the company are subject to ESG integration.
Vontobel Asset Management is an active asset manager with global reach and a multi-boutique approach. Each of our boutiques draws on specialised investment talent, a strong performance culture and robust risk management. We deliver leading-edge solutions for both institutional and private clients. Our commitment to active management empowers us to invest on the basis of our convictions. We deliver value through our diverse and highly specialised teams. Employing around 400 professionals worldwide - including 160 investment specialists - we operate across 13 locations including Switzerland, Europe and the US and create strategies and solutions covering equities, fixed income, multiasset and alternative investments. The goal of achieving excellent and repeatable performance has been fundamental to our approach since 1988. A strong and stable shareholder structure guarantees our entrepreneurial independence and protects the long-term mindset that guides our decision making.
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