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J.P. Morgan Asset Management

Taunustor 1

D-60310 Frankfurt am Main


Ansprechpartner Institutionelle Anleger

Jens Schmitt

Head of Institutional Business Germany and Austria

Telefon: +49 69 71242175

E-mail: jens.h.schmitt@jpmorgan.com

Ansprechpartner Wholesale Anleger

Christoph Bergweiler

Country Head Austria, CEE, Germany and Greece

Telefon: +49 69 71242164

E-mail: christoph.bergweiler@jpmorgan.com

Unternehmen im Überblick

With assets under management of USD 1,6 bn*, J.P. Morgan Asset Management (“JPMAM”) is a global leader ininvestment and wealth management. The company has a long and distinguished record of success that can be traced back to the late 19th century.

We are operating across regions: the Americas, EMEA (Europe, Middle East and Africa), and Asia Pacific, with 7,290 staff* and a presence in over 20 countries worldwide, which allows us to have a globally integrated, local presence in all major economic regions and time zones. Our approx. 1,200 investment professionals* are mainly based in the five major investment management hubs London, Hong Kong, Tokyo, New York and Columbus, Ohio.

This structure ensures that our knowledge, experience and resources are shared around the globe, providing our clients with a competitive information advantage and truly global investment expertise. In short, our comprehensive understanding of world markets across a highly diversified range of asset classes gives us greater potential to enhance returns.

Our clients benefit from a range of investment activities, which include:

  • Pension Fund Management

  • Charitable Fund Management

  • Institutional Fund Management

  • Reserves Management

  • Insurance Money Management

  • Third Party Distribution Services

  • Sub-advisory Services

  • Mutual Fund Management

The strategies we offer encompass all major asset classes, and span all financial markets across the world. Strategies can be tailored to meet a comprehensive range of investor requirements, and we hold leadership positions in most areas of our business.

*as of December 31, 2017

Marktposition und Zielkunden

JPMAM is a chosen investment partner to corporations, governments, foundations and individuals globally. We manage money for many of the world’s leading banks, insurance companies, asset managers and advisory firms, providing investment insights which allow them to thrive in today’s fast moving markets.

Our core business is the management of segregated and pooled accounts for large institutional clients, which represents the majority of our

Allgemeine Investmentphilosophie

JPMAM has a transparent investment philosophy, with common factors that apply across all products and processes:

  • Global Research: We create an information advantage through qualitative and quantitative research undertaken by our dedicated team of investment professionals based around the globe.

  • Risk Controls: We avoid taking positions and incurring risks in areas where we do not believe we have an information advantage.

  • Innovation Guided by Essential Principles of Investing: We commit substantial resources to continuously improving the investment process while adhering to the basic tenets of our investment philosophy.

Our approach to managing money is driven by three key principles:

  • Breadth and depth of choice: We offer expertise across every major financial asset class - equities, fixed income and cash, and also alternative asset classes like managed currency and hedge funds in order to offer investors an unrivalled choice of products covering the full risk/reward spectrum;

  • Multiple investment processes: We don’t believe there is one single way to deliver investment performance. We therefore offer a range of distinct but complementary investment approaches across different markets;

  • Disciplined and team-based management: We have developed proven, transparent and disciplined investment processes to manage our investment funds, which rely strictly on team-based research, stock picking, portfolio construction and risk management. While making full use of the individual strengths and insights of our investment professionals - and expecting full accountability from our named fund managers - we look to team-based management to ensure consistency of investment style at all times.

unterkategorie / ausprägung
Aktien x
Renten x

Physisch repliziert
Synthetisch repliziert

Kompetenz des Hauses bezüglich ETF Strategien

J.P.Morgan Asset Management ETFs draw on the expertise of the firm’s global cross-asset research franchises and disciplined, risk managed investment process to deliver client solutions within the ETF wrapper. Our ever-growing European product suite currently includes both Alternative Beta and Fixed Income products. In Alternative Beta Strategies, our products are designed to bring the uncorrelated return streams and enhanced portfolio diversification benefits offered by alternative strategies to a wide range of investors in a systematic, liquid and transparent way. Our Fixed Income Strategies provide investors with liquid, low cost access to a range of innovative bond and cash strategies.