Dexia Asset Management is a leading-edge European asset management company which supplies a complete range of high-performance solutions, in all asset classes, to institutional and private investors as well as financial intermediaries.
Dexia Asset Management is able to rely on its recognized experience and track record in asset management (equities, bonds and monetary products), covering registered funds and asset management mandates in several European countries. In addition to our traditional asset management skills (equities, bonds, money market and diversified management), Dexia Asset Management is an acknowledged European leader in Sustainable & Responsible Investment (SRI) and in alternative management.
In addition to its traditional investment expertise, Dexia Asset Management is a major European player in alternative asset management, covering a complete range of strategies, including high yield, long-short European equities, convertible arbitrage, trend following, volatility, event driven funds and multi-strategy funds.
Sustainable and Responsible Investment (SRI) portfolio management is a strategically important area of expertise for Dexia Asset Management. Its leading position in this field is the result of 13 years of experience and research. During that time, we have built up an in-house analysis team and one of the most extensive ranges of SRI products with the aim of transborder distribution in 9 European countries.
Dexia Asset Management offers tailor made solutions and services, while keeping costs down by centralising its asset management activities in Brussels, Paris, Luxembourg and Sydney and decentralising its sales and distribution activities throughout Europe, Australia, the Middle East, Turkey and Canada. Our target clients are: Dexia Group clients in public finance, networks of financial services for individual customers and private clientele, the European pension and insurance fund industry, and transborder investment fund distributors