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Let us finance a
sustainable future

Our partners

Our goal in selecting partners is clear: to create added value for our institutional investor clients through successful, sustainable investment opportunities. We regard impact as an equal parameter alongside return and risk — a driving force for social progress. That’s why we cooperate with international asset managers whose responsible actions create measurable effects on a global scale. We support institutional clients such as pension funds, insurance companies, and banks, serving as the interface to sustainable managers.

Qualified investors can achieve measurable impact, pursue attractive returns, and promote sustainable development goals through investments in sustainably managed products — ranging from ESG-compliant, innovative equity funds to high-yield and emerging market bonds, as well as social infrastructure, healthcare, and renewable energy.

Partners via our cooperation with Fundbridge

Our cooperation with Fundbridge connects professional investors with selected, successful asset managers across different markets. Like us, the company has a deep understanding of the needs of institutional investors and identifies solutions that are precisely aligned with the market environment and each specific mandate. Our collaboration is defined by independence, professional excellence, and a spirit of partnership – creating sustainable and measurable value.

Logo der Firma Global Evolution

Global Evolution – an Emerging Markets solutions provider leaving a legacy of impact
Sustainable Impact Investing in Frontier & Emerging Markets – Sovereign and Corporate Bonds

Global Evolution is a specialized investment manager focused on frontier and emerging markets, with a long track record and extensive experience in providing innovative solutions in sovereign and corporate bonds across developing economies. The company places great emphasis on creating value for its clients while generating a positive and sustainable impact on the markets in which it invests.

For many years, Global Evolution has recognized the importance of environmental, social, and governance (ESG) factors and their influence on growth and economic development in emerging markets. The firm’s rigorous ESG integration process aims to identify countries demonstrating positive progress toward improved macroeconomic fundamentals and a more stable political environment – particularly where financial infrastructure supports foreign investment and where attractive risk premia exist.

More information about Global Evolution IM can be found on their website or on LinkedIn

Logo der Firma Alpinum Investment Managment

The Swiss specialist for Credit, Private Debt and Alternative Investments

Alpinum IM specializes in bonds and alternative investments, with a focus on long-term absolute return strategies. The firm’s investment approach follows a consistent absolute return philosophy, combined with strict risk management, a targeted search for attractive risk premia, and an opportunistic implementation. Alpinum IM provides innovative investment solutions for qualified investors – including family offices, wealth managers, banks, and pension funds – with a core expertise in credit, private debt, and alternative investments.

Founded in 2014 as a spin-off from Marcuard Heritage, Alpinum IM is an independent Swiss asset manager strongly aligned with the interests of its clients. The firm is licensed by the Swiss Financial Market Supervisory Authority (FINMA) as a manager of collective assets. As an independent asset manager, Alpinum IM manages award-winning investment funds with innovative strategies across Luxembourg, Liechtenstein, Germany, and Switzerland.

More information about Alpinum IM can be found on their website or on LinkedIn

Logo der Firma Teres Global / Siegfried Asset Management

Siegfried Supply Chain Finance offers access to short-term, high-quality credit assets and to the largest independent factoring platform in Asia.

The strategy invests in a portfolio of short-term, buyer-confirmed account receivables from international trade and bridges financing needs between delivery of goods and payment. The Supply Chain Finance strategy finances the “last mile” of the trade finance investment universe. It only provides financing of a specific transaction to an Asian supplier after goods have been delivered and declared in good order. After financing a specific transaction, the fund obtains returns based on local interest rates. The credit exposure is to large, Investment-Grade North American, European, and developed Asia-Pacific companies.

Supply chain finance, also called factoring, assists suppliers in getting paid before the pre-agreed payment term, thereby allowing a more optimal cash-flow solution. It finances the last leg in the supply chain. Buyers are committed to pay once the goods are accepted. The arrangement is mutually beneficial for all parties.

More information about Teres Global / Siegfried Supply Chain Finance can be found on their website or on LinkedIn.  

Logo der Firma AIKYA Investment Management

AIKYA is an independent, employee-owned investment firm specializing in equity portfolios in Emerging Markets.

Based on many years of experience, AIKYA has developed a unique emerging markets strategy that meets the highest standards in terms of sustainability. Its goal is to achieve solid long-term returns with minimal downside risk—investing client capital as if it were its own. Risk is defined as a permanent loss of capital rather than short-term underperformance against a benchmark. AIKYA’s strength lies in its consistently long-term approach, built on two pillars: quality and valuation. The focus is on the quality of corporate governance; each investment is assessed through a detailed analysis of the business model, market position, and financial metrics—complemented by strict valuation discipline.

The AIKYA team brings together decades of experience in investing across emerging markets. A shared and passionate belief in the potential of this asset class shapes the firm’s collegial culture and open, fact-based dialogue. Every team member is an analyst and is encouraged to think and act like a long-term owner.

More information about AIKYA IM can be found on their website or on LinkedIn

Logo der Firma Artemis Investment Management

As a leading, independent UK-based fund manager founded in 1997, Artemis IM manages a broad range of primarily equity portfolios for across the UK, Europe, the US and global markets.

As an owner-managed and fully independent company, Artemis focuses on active investment management with a clear commitment to superior long-term returns, responsible governance and exceptional client service. Artemis integrates environmental, social and governance (ESG) principles into its investment processes and has been a signatory to the UN-supported Principles for Responsible Investment (PRI) since 2015, as well as to the UK Stewardship Code. The firm’s approach to stewardship and corporate responsibility extends beyond investment, supporting charitable initiatives, community engagement and environmental awareness. 

Through our cooperation, we will leverage Artemis’s global investment expertise and research-driven approach to provide institutional clients with high-quality, independent solutions that deliver measurable, lasting value.

More information about Artemis IM can be found on their website or on LinkedIn.