Carmignac

Est. 1989
201-500 employees Financial Services

About Carmignac

We are an independent — family and employee owned — European Investment Management boutique, built on rich craftsmanship heritage, unique talents and an entrepreneur-minded culture.
We strive to bring the best of active and alternative asset management to investors, helping them fulfil their long-term goals whilst contributing towards building a more sustainable world.
We are committed to delivering premium products with consistent long-term performance, providing high-quality customer service for both distributors and investors, and embedding ESG focus into everything we do.

Expertise

Asset Management, Finance, Equities, Fixed Income, Mixed Assets, Emerging Markets, and European Markets

Thirty-seven years in emerging markets: Carmignac's pioneering expertise
  • 22 May 2026

Carmignac has invested in emerging markets since 1989, bringing decades of expertise and a long-term perspective to the asset class.

Emerging Market Debt: Resilience in a more volatile world
  • 13 May 2026

Why EM debt may remain one of the most compelling opportunities in fixed income despite oil shocks and geopolitical volatility.

Quarter 1 2026: Our active stewardship illustrated
  • 12 May 2026

Find out how our active approach to stewardship was borne out in Q1 2026.

Revival after 15 years of underperformance: Why emerging markets now matter more than ever
  • 04 May 2026

Emerging markets are no longer synonymous with disappointment: their current structural reality reflects a profound transformation of this asset class.

Carmignac awarded Best Bond Large Company Group in Europe at the Lipper Fund Awards 2026
  • 24 Apr 2026

This award reflects our hallmark in fixed income, making our funds a compelling solution through an active, flexible and unconstrained approach.

3 years of resilience: Capturing opportunities in a new M&A cycle
  • 16 Apr 2026

Our M&A strategy celebrates 3 years of resilient, low-volatility returns amid a new cycle of rising M&A activity, attractive spreads and strong diversification potential.

Why passive funds miss the point in emerging markets
  • 14 Apr 2026

Emerging markets are defined by high dispersion, structural inefficiency and information asymmetry. For active managers, these are features that can be exploited. For passive investors, they are a...

2025: Our active stewardship illustrated
  • 09 Apr 2026

Find out how our active approach to stewardship was borne out in 2025.

Carmignac Portfolio Patrimoine: The Key to Effective Diversification
  • 30 Mar 2026

When traditional diversification fails, what’s next? Explore how active allocation, differentiated drivers, and flexible strategies aim to build more resilient portfolios.