Find out more about the supporters of this event below.
M&G Investments is an asset manager that connects the dots globally to identify investment opportunities. We have a global network of investment teams that connects world-class research capabilities, and the diverse experience and views of experts across multiple asset classes. We think freely, share ideas and new perspectives to inform better decision-making, fuel innovation and identify investment opportunities for our clients. We're part of M&G plc, an international savings and investment business, with the shared purpose to give everyone real confidence to put their money to work. We offer access to a broad range of capabilities that span both public and private assets, including fixed income, equities, multi-asset, real estate, private credit, infrastructure and private equity. Globally we manage over £323bn* on behalf of individual and professional investors including banks, pension funds, insurers, sovereign wealth funds, family offices, charities and advisors. We're among the largest managers of private assets in Europe. We're also recognised for our global public fixed income expertise, a long track record in multi-asset solutions, and a strong heritage in innovating in equities, including a growing range of sustainability-driven thematic equity funds. This scale gives us unrivalled access to investment opportunities across public and private markets. We provide a wide range of funds and bespoke solutions to our clients, including segregated mandates, joint ventures and co-investment opportunities.
*As at 30 June 2025
The Nomura Asset Management Group is a leading global investment manager. Headquartered in Tokyo, we have additional investment offices throughout the world including Singapore, Kuala Lumpur, Hong Kong, Shanghai, Taipei, Frankfurt, London and New York. Nomura Asset Management has been operating in Europe for over 30 years.Today Nomura Asset Management provides its clients with a wide range of innovative investment strategies including global, regional and single country equities, high yield bonds, alternative investments and global fixed income strategies
Polar Capital is a specialist, investment-led, active fund manager. The company prides itself on its collegiate and meritocratic culture where capacity of investment strategies is managed to enhance and protect performance. Since its foundation in 2001, it has grown steadily and currently has 13 autonomous investment teams managing specialist, active and capacity constrained portfolios with combined assets under management of £28.4bn (at 31/12/2025).
Tikehau Capital is a global alternative asset management group managing €52.8 billion of assets (as of 31 December 2025). The Group has developed a wide range of expertise across four asset classes: credit, real assets, private equity, and capital markets strategies. Capitalizing on its strong equity base (€3.1 billion as of 31 December 2025), Tikehau Capital invests its own capital alongside its investor-clients. The Group is guided by a strong entrepreneurial spirit and DNA, shared by its 717 employees (as of 31 December 2025) across 17 offices in Europe, Asia, and North America.