Our expertise
We offer actively managed solutions and strategies that have varying return and risk objectives, all developed to meet our clients' needs.
Clients can select from a broad array of strategies across the asset class spectrum.
What sets us apart
Independent thinking鈥搊n a global scale
We encourage different investment approaches and styles to promote innovation and to help our clients diversify their portfolios on a global scale, giving you global reach and local insights.
Partnership you can depend on鈥搘ith disciplined execution
We can work proactively with you, connecting you with the right insights, ideas and expertise so you can make informed decisions, underpinned by disciplined execution.
Investment expertise鈥搘hile driving positive change
We are one of the fastest-growing SI managers globally, with a dedicated team committed to putting sustainability at the heart of everything we do.
Sustainable capabilities
We are committed to providing our clients with an offering to meet their evolving sustainability needs. We offer a range of investment approaches across asset classes, including exclusions, screening, stewardship, ESG integration and customization.
Our investment areas
Equities
We have a wide spectrum of active investment strategies. Global, region-focused and thematic strategies are complemented by high alpha, growth and quantitative styles.
Fixed Income
We have a diverse range of active global, regional and local market-based strategies, including single-sector, multi-sector and extended sector, as well as unconstrained and currency-specific.
Multi-asset and currency
We offer commingled or bespoke global and regional asset allocation and currency investment strategies with the ability to utilize a broad range of asset classes and spanning the risk/return spectrum.
Hedge funds
We provide a diverse selection of hedge fund strategies across our single manager platform which offers both multi-strategy and standalone capabilities, as well as our multi-manager platform which provides investment and advisory services, including customized solutions.
Private markets
Our Private Markets business is one of the largest managers of real assets worldwide, and offers clients access to expertise across direct real estate and direct infrastructure, as well as multi-manager solutions in real estate, infrastructure and private equity.
Latest insights
- Unified Global Alternatives 鈥 Hedge Fund Bulletin
- Real Estate Outlook 鈥 Switzerland, Edition 1H26
- Rebounding from a supply shock
- Unified Global Alternatives 鈥 Hedge Fund Bulletin
- UK Equities 鈥 Beyond the AI turbulence
- EM corporate debt: A misunderstood asset class
- Let your bonds work smarter
- Unified Global Alternatives 鈥 Hedge Fund Bulletin
- The power of co-investment
- Housing crisis
- Chinese equities: The next era of growth
- Applying AI in multi-asset investing
- Rebuilding diversification: China, Asia and the next opportunity set
- Positioning for growth
- When the old rules no longer apply
- Unified Global Alternatives 鈥 Hedge Fund Bulletin
- Adjusting to evolving trends
- Asian Credit Outlook 2026
- Hard assets, soft power
- Embracing infrastructure opportunities
- The great portfolio reset
- Embracing alternatives in a supply-driven world
- When credit demand follows supply
- Is the hedge fund juice still worth the squeeze?
- Transition leads to opportunity in global real estate
- Engineering Alpha at scale
- More growth, less heat
- Unified Global Alternatives 鈥 Hedge Fund Bulletin
- Mind the fiduciary gap
- Managed rivalry, emerging opportunity 鈥 China鈥檚 equity renaissance
- Getting active: The next chapter in European ETFs
- Chinese equities have more room to grow
- Global real estate outlook 鈥 Edition 2025/26
- Switzerland real estate outlook 鈥 Edition 2025/26
- Swiss real estate security 鈥 Edition 2025/26
- Asia Pacific real estate outlook 鈥 Edition 2025/26
- US real estate outlook 鈥 Edition 2025/26
- Real estate: The Red Thread 鈥 Alternatives
- Infrastructure: The Red Thread 鈥 Alternatives
- Private equity: The Red Thread 鈥 Alternatives
- Private credit: The Red Thread 鈥 Alternatives
- Hedge funds: The Red Thread 鈥 Alternatives
- Farmland: The Red Thread 鈥 Alternatives
- Unified Global Alternatives 鈥 Hedge Fund Bulletin
- AI breakthrough in diagnosing heart disease
- Leaning in
- Fundamental investment
- ETF spectrum: Aligning active options
- Swiss precision: Creating clockwork-like index equity portfolios
- Takeaways from the IMF-World Bank Fall 2025 meetings
- Mining in the shadows: cryptojacking exposed
- High-quality income in Switzerland鈥檚 zero interest rate environment
- The key to this cycle鈥檚 resilience
- Unified Global Alternatives 鈥 Hedge Fund Bulletin
- Asia: Reform, innovation and room to run
- Unified Global Alternatives 鈥 Hedge Fund Bulletin
- Charting new currents
- Demographic drivers and their investment opportunities
- Real Estate Outlook 鈥 Switzerland, Edition 2H25
- Evolution of corporate credit
- Building the future of innovation
- Alternative realities
- How to construct an alternatives portfolio
- Oil and gas
- The Fed: Now and Later
- A spirited return to Asia and China
- China Bonds: Diversification potential beyond the Dollar
- A partnership to deliver breadth and depth on India equity
- Strategy Outlook
- The Red Thread for alternatives 鈥 Edition July/August 2025
- Adapting to uncertainty
- Moment of clarity
- Infrastructure inflows: trickles turn to torrents
- Watching for a renaissance in China equities
- Soaring to new heights
- Unified Global Alternatives 鈥 Hedge Fund Bulletin
- Fields of Dreams: The Growing Disparity Between Yield Forecasts and Reality
- Antifragile?
- Two paradigms: regulated utilities across the Atlantic
- Why UBS Core Fixed Income ETFs for today鈥檚 market?
- UK policy warms on private capital
- On the rise?
- Can markets look past a worsening economy?
- A focus on climate can achieve multiple investor goals
- Unified Global Alternatives 鈥 Hedge Fund Bulletin
- TRTPM monthly blog 鈥 Edition June 2025
- Nil, Baby, Nil: Stagnating Oil Production Growth in the U.S.
- Closing the loop on decarbonized transport
- Reimagining the single market: part one
- Europe: A strategic overweight?
- Finding Europe鈥榮 elusive alpha
- Reimagining the single market: part two
- Walls of worry
- Structural shifts in Europe鈥檚 credit ecosystem
- Europe鈥檚 regulatory balancing act
- Resilience amid uncertainty
- A climate-driven investment approach
- Central Banks & Emerging Markets Debt
- Adapting to shifts in a dynamic market
- The 鈥楽ell America鈥 trade and its limitations

