Delivering quality management and performance that withstands the test of time demands long term vision and bold conviction
This has always been our investment philosophy at Edmond de Rothschild Asset Management. Free of benchmarks and passing fashions, our approach aims at identifying companies with the key elements of sustained success.
Faithful to our tradition, our stock-picking process is based on rigorous qualitative analysis of every company we select, our meetings with their management comprising the cornerstone of our research process.
Our investment decisions are orchestrated around the synergies developed between the global asset allocation team and our teams of specialised equity fund managers. By apprehending the interactions between the economic and geopolitical worlds, our two specialties instigate both an in-depth analysis of the markets, allowing for optimal, risk-adjusted asset allocation, and to local equity market expertise. It is here that our strong international presence and our experienced teams — comprising over 16 different nationalities — are a prized asset.
Building relationships based on trust and offering you the best opportunities and investment solutions to match your objectives has been our priority for over 250 years. Our ability to meet this double objective is based on the know-how and innovative ability of over 154 professionals. In the corporate governance field, Edmond de Rothschild Asset Management has a specific policy which determines how these funds exercise their voting rights. For more details, please consult our Voting Policy document or the Report on Voting Right Policy 2011.