Groupama Asset Management’s Equity management is adaptable to the requirements of its customers. With its robust investment processes, the company aims to achieve recurring performance.
The Groupama Asset Management investment process has been tailored to respond to four key requirements that are regularly expressed by customers and prospective customers:
Groupama Asset Management’s Equity management has performed outstandingly well through various economic cycles thanks to its steadfast investment process. It is supported both by the expertise provided by internal research centres and by experienced, fully responsible fund managers.
Where there is a need for additional expertise to reach the high level of proficiency required, particularly outside the continent of Europe, long-term partnerships have been established.
The specificity of Groupama Asset Management’s approach is based on a transverse view that brings together skills and expertise and a very long-term view regarding asset management.
Combined with the experienced management team’s responsiveness, this analysis method has led to creation of value under all market circumstances (bullish, bearish, trendless or volatile) over recent years.
Although for the most part its performance is the result of an appropriate selection of securities, Groupama Asset Management has always considered that this is not the only contributing factor. Sector allocation and market exposure are also parts of the alpha generation process.