AllianceBernstein is a leading investment-management firm with $686 billion in client assets under management, as of 31 December 2020. We provide forward-looking perspective, independent research and investment discipline across asset classes, from equities and fixed income to alternatives and multi-asset portfolios. Our worldwide clients—including institutional, high-net-worth and retail investors—face new investment challenges and opportunities every day. Through our unique combination of expertise, research and global reach, we apply collective insights and leverage our extensive global footprint to help keep our clients at the forefront of change.
CANDRIAM is a European multi-specialist asset manager with a 20-year track record. CANDRIAM manages around EUR 128 billion of assets under management as of the end of June 2020 with a team of more than 500 professionals. It operates management offices in Luxembourg, Brussels, Paris, and London, and has client representatives in more than 20 countries throughout continental Europe, the United Kingdom, the United States and the Middle East. CANDRIAM offers investment solutions in several key areas: bonds, equities, absolute performance strategies, and asset allocation. CANDRIAM is also a pioneer and leader in sustainable investments with, since 1996, a broad and innovative range covering all its asset classes. CANDRIAM is a New York Life Company. New York Life Investments ranks among the world's largest asset managers.
As a conviction-driven investment house founded upon the belief that wealth should be used to build the world of tomorrow, Edmond de Rothschild specialises in Private Banking and Asset Management and serves an international clientele of families, entrepreneurs and institutional investors. The group is also active in Corporate Finance, Private Equity, Real Estate and Fund Services. With a resolutely family-run nature, Edmond de Rothschild has the independence necessary to propose bold strategies and long-term investments, rooted in the real economy.Created in 1953, the Group now has CHF 173 billion (€ 160 billion) in assets under management, 2,600 employees and 32 locations worldwide.
Generali Investments(1) is a leading asset manager in Europe with over €500 bn AUM(2) and strong commitment to sustainability. Our business model is based on a multi-boutique platform, whose key is in the focus and quality of the capabilities shared with our clients. We only invest(3) in best-in-class specialized boutiques, that broaden our existing skillsets and strengthen the value we generate. Among them: Aperture Investors, operating with an unconstrained investment approach and a unique fee model that aligns the company’s profitability with that of its clients and Sycomore AM, pioneer in socially responsible investing in Europe and B CorpTM certified, aiming to deliver sustainable performance through a wide range of products.
1 Generali Investments is a commercial brand of Generali Investments Partners S.p.A. Società di gestione del risparmio, Generali Insurance Asset Management S.p.A. Società di gestione del risparmio, Generali Investments Luxembourg S.A. and Generali Investments Holding S.p.A. 2 Source: Generali Group, data as at 31 December 2020 3 Generali Investments Holding S.p.A. holds the majority share of each boutique
Manulife Investment Management is the global asset management arm of the leading financial service provider Manulife Financial Corporation. Managing USD 455 billion in AUM (as of 31/12/2020), we offer leading capabilities in public and private markets, which extends across equity, fixed income, liquid alternatives and private investments. Across our diverse portfolio of investments in public and private markets, we seek to be a global leader of sustainable asset management, creating long-term value for our stakeholders while helping realize a sustainable trajectory for the global economy.
At RWC Partners, we provide strategies that enable our clients to invest in developed and emerging market equities, convertible bonds, diversified return and income solutions that help them meet their long-term financial needs. We have a strong sense of responsibility to provide the highest standards of investment management: clear information that helps our clients and a stable organisation that is long-term and trustworthy.
Vontobel Asset Management is an active, multi-boutique asset manager with global reach. Each of our boutiques draws on specialized investment strategies, a strong performance culture and robust risk management. Our commitment to active management empowers us to invest on the basis of our convictions. This allows our highly specialized teams to generate value added for our clients, both institutional and private. With 440 professionals worldwide, we operate across 16 locations in Europe, the US and Asia. We develop strategies and solutions covering equities, bonds and multi-asset investments. A strong and stable shareholder structure guarantees our entrepreneurial independence and protects the long-term mindset that guides our decision-making.