Diversify portfolios and identify the best responsible investment opportunities in a broad universe of asset classes and management styles.
€22
billionin assets under management
16
manager-analysts
5
areas of expertise and 10 strategies
Rozenn Le Caïnec and Brice Perin
Co-Heads Multi-Assets & Absolute Return
Multiple SRI capabilities dedicated to achieving investment objectives based on client risk profiles. The managers possess well-established expertise in devising flexible, tailored and responsible solutions.
Capture equity performance with less volatility
Tap into investment trends and opportunities whatever the market environment
Access multiple sources of value added
Devise tailored investment solutions
1.
Convertible bonds. Exploit convexity and various sources of value added, such as equities, volatility and corporate bonds.
2.
Absolute Return & Multi-Assets. Tap into investment trends and opportunities, while cushioning the impact of market declines and targeting diversification and yield, regardless of the market environment.
3.
Dynamic Allocation. Access multiples sources of value added by identifying the asset classes offering the best prospects and including them in the allocation accordingly.
4.
Constrained, diversified and optimised. Devise constrained, financial, non-financial and/or regulatory asset management solutions tailored to specific requirements.
Integrated financial and non-financial research to capture the performances of responsible investments.
A team of managers with specialised and complementary profiles, who are experienced in building tailored solutions.
A diversified offering (absolute return management, constrained solutions, convertible bonds, multi-manager approach).