Jupiter Institutional
Jupiter’s active, alpha-centric platform supports four distinctive investing platforms, each composed of specialised investment teams with expertise in: growth and innovation, sustainable investing, emerging economies, and lower-correlated alternative strategies.
Investment capabilities
Growth & innovation
A new framework for global equity investing. Seeking to identify innovative, long-duration growth companies that maximize non-zero-sum outcomes for customers, employees, society, and the environment.
Sustainable investing
Authentic. Active. High-conviction. Strategies managed by our Sustainable Investing team seek to invest in high-quality companies that are leading the transition to a more sustainable world.
Emerging Economies
Active and distinctive strategies that capture emerging opportunities within developing markets.
Low correlation (and income)
Value-adding diversifiers. Strategies with low correlation to mainstream equity and credit markets seek to produce attractive risk-adjusted returns across diverse market environments.
European Equity
Investing with conviction and high active share in world-leading, Europe-based companies benefitting from disruptive growth opportunities, with ESG integral to the investment process.
Multi-Asset
Focused and flexible in the search for income. A core strategy seeking to generate a steady and high level of income alongside long-term capital growth and capital preservation.
Insights from active minds
Investing in an age of data overload
Amadeo Alentorn, lead investment manager, systematic equities, discusses how to make investment decisions in a world increasingly driven by large amounts of data.
Webcast: Easing into 2024?
Webcast: Big returns in Europe’s smaller companies?
Market and exchange rate movements can cause the value of an investment to fall as well as rise, and you may get back less than originally invested.
Past performance is no guide to the future.
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