Mirabaud Asset Management is an active stock picker with a passion for investing. Our investment philosophy, as specialist, is defined by three key pillars.


As a structured and disciplined active manager with a high level of integrity, we express our strongest convictions in the portfolios we manage, particularly so in their concentrated versions.


Mirabaud Asset Management is benchmark aware but not benchmark constrained; we are also proud to offer this flexibility to investors in the way they can get exposure to our skill set through funds & bespoke mandates.

Integrated Risk Management

Helping our portfolio managers to make informed decision to generate performance while protecting investors on the downside, Mirabaud Asset Management is geared towards asymmetry.

Conviction-Based Active Management

View our range of equity funds


Is it really safer to stay with the herd?

By Paul Waters, Head of Institutional, UK and the Netherlands and David Kneale, Head of UK Equities at Mirabaud Asset Management


Mirabaud Funds - Monthly Performances