We invest in global equities and global fixed income mostly via mutual funds domiciled in Europe.

We believe in the combination of active and passive management, so we invest in both index funds, smart beta products and actively managed long only funds. For the latter we seek more concentrated funds with a differentiated approach.

We tend to invest in global or regional strategies but usually not in individual countries, except for the USA.

We tend to avoid the largest, most well known fund management houses but can make exceptions for smaller/more niche strategies withing large groups.