We strive to bring the best of active and alternative asset management to investors, helping them to fulfil their long-term goals whilst contributing towards building a more sustainable world.
We are committed to delivering premium products with strong long-term performance, providing high quality customer service for both distributors and investors, and embedding ESG focus into everything we do.
We are one of the largest and most enduring independent asset management boutiques in Europe. Established nearly 35 years ago, we are a family and employee-owned company, driven by an entrepreneurial culture.
At Carmignac, we adopt a conviction-based approach, embodied in a number of focused investment strategies, to achieve our clients' long-term savings objectives.
Here at Carmignac, we are proud to be a family business with a human touch and a strong culture perpetuated by deep-rooted values and attitude.
Our governance model ensures the coherence and sustainability of the company's strategy while providing the best possible framework to serve the interests of our investors.
This governance relies on various group committees which focus on specific key business areas.
At the heart of our firm is risk management. We pay the closest attention to identifying, quantifying and analysing the risks attached to our investment process.