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.
Asset Management, Finance, Equities, Fixed Income, Mixed Assets, Emerging Markets, and European Markets
It was an eventful summer, and one that gave rise to a promising outlook
Currency Management is one of the 3 pillars of our active global macro fixed income process: Discover why it is an important tool to add both alpha and downside protection
Find out our views and positioning on the Fund for the fourth quarter of 2023 ➤ Quarterly report Carmignac
Find out our views and positioning on the Fund for the second quarter of 2023 ➤ Quarterly report Carmignac
Find out our views and positioning on our funds for the second quarter of 2024
Abdelak Adrjiou, manager of Global Bond and Emerging Market Debt portfolios, continues to advocate active credit selection and management to optimise returns and manage risk within his funds.
How can one reconcile expectations of a sharp rise in corporate profits with sluggish economic growth and a disinflationary environment?
Find out our views and positioning on the Fund for the first quarter of 2024 ➤ Quarterly report Carmignac
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