1167 Capital is a specialist, independent investment manager focused on delivering outperformance for clients through active management of global and emerging market bond products. 1167 was the year in which the Republic of Venice became the earliest modern state to borrow from its citizens in a formal manner – a transaction which was the ancestor of today’s global government bond markets. Today, savers are not forced to lend only to their own governments, but can choose to invest in an unprecedented range of developed and emerging market bonds and currencies. The mission of 1167 Capital is to help them do so.
Arcano is an independent financial advisory services firm of reference with offices in Madrid. Barcelona and New York.We have 3 major business divisions: Investment banking, asset management and wealth management.Our team of experts is made up of over 170 qualified professionals that work to offer financial advice to our clients and solutions to meet their needs with a unique and independent approach.
Arcano in detail:- Founded in 2003- 18 years of existence- 100% Owned by its 17 Partners- 3 Business areas; Investment Banking, Alternative Asset Management, Wealth Advisory- More than 170 Investment Professional- 6 offices in Europe and United States- More than 5 billion euros under management and advisory in alternative investments.- Our investment base is primarily comprised of endowments and foundations, pension funds, insurance companies, family offices and private banking customers, mainly from Europe, the US and Latin America.
Founded in 2008, Ardea Investment Management is one of Australia’s largest fixed income investment managers, entrusted with managing over £10bn on behalf of clients ranging from pension funds, insurance companies and government entities, to wholesale and retail investors.
Ardea’s unique pure ‘relative value’ investment approach accesses return sources beyond the conventional to deliver volatility-controlled alpha that is independent of market direction and exhibits minimal correlation to broader fixed income and equity markets.
Ardea’s ‘relative value’ alpha can be packaged into absolute return, benchmark aware, liability driven or custom portfolios to suit varying client requirements.
The firm maintains majority ownership by employees to foster both long-term alignment of interests with clients and stability of the investment team, which has longevity, diversity and depth of experience across global fixed income markets.
Morgan Stanley Investment Management, together with its investment advisory affiliates, has more than $1.4 trillion in assets under management or supervision as of March 31, 2021. Morgan Stanley Investment Management strives to provide outstanding long-term investment performance, service and a comprehensive suite of investment management solutions to a diverse client base, which includes governments, institutions, corporations and individuals worldwide. The combination with Eaton Vance allows the firm to bring even more value to clients through many high quality, complementary investment offerings, delivered with an unwavering commitment to client service. Professionals across the globe draw upon these capabilities to develop strategies that address a wide range of investors’ needs across the public and private markets.
Pictet Asset Management is an independent asset manager offering investment services around the world. Our people are located in 17 offices across the world, close to the markets in which we invest and the clients we serve. We have had an office in London since 1980. This is an investment centre with nearly 400 employees, where we have a Distribution team looking after our UK clients. We are part of the Pictet Group, founded in Geneva in 1805. Our key investment capabilities include: Thematic Equities, Strategic Credit, Emerging Markets Debt, Emerging Market Equities, Multi Asset and Alternative Investments. We manage £184 billion in assets as at the end of December 2020.
Royal London Asset Management (RLAM) is one of the UK’s leading investment companies, having built a strong reputation as an innovative manager, investing across all major asset classes. RLAM manages over £148 billion of assets (as at 31/12/20), split between equities, fixed interest, multi asset investing, property and cash, with a market leading capability in sustainable investing. Products include funds and segregated accounts investing in government bonds, investment grade, high yield and unrated credit, equity income and equity growth across global developed markets, as well as UK property and cash and short-term money market instruments.