Mirabaud Asset Management is an active stock picker with a passion for investing. Our investment philosophy 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 decisions to generate performance while protecting investors on the downside, Mirabaud Asset Management is geared towards asymmetry.