For over 35 years we’ve aimed to make a positive difference for our clients by helping them achieve their long-term investment objectives through high conviction, active management.
We follow a set of principles that guide us and underpin the way we do business. Our most important principle is to put our clients at the heart of everything we do.
Our approach to ESG is focused on investing our clients’ assets responsibly to enhance returns.
Since Jupiter was established in 1985, we have sought to make a positive difference for our clients. Woven through the fabric of our firm, stewardship is integral to all we do as active managers of our clients’ assets.
A strategy that uses dynamic and speedy asset allocation to target risk-adjusted returns and small drawdowns.
A genuinely differentiated fund blending exposure to gold and silver bullion, and gold and silver mining equities.
A flexible global bond fund with the freedom to invest in many different parts of the market.
Finding diversification during uncertain markets.
Access one of the fastest-growing fixed income sectors of the past decade.
An active, high-conviction approach designed to maximise opportunities no matter the outlook.
Non-traditional investment strategies designed to diversify sources of return.
Flexibility is at the heart of our approach.
Our capabilities span across a range of equities and specialist areas.
A carefully honed approach to diversification.
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David is an Investment Manager in the Independent Funds/Merlin team.
David began his investment career in 2006. He is a chartered fellow of the Chartered Institute for Securities & Investments and is a CFA® charterholder.