Asset Management

Being a strategic financial holding company in Europe and the center of asset management expertise through its asset management companies for the ORIX Group, ORIX Europe is overseeing the strategies for the group assets, which are mainly located in Asia, Europe and the USA.

Image: Robeco


Robeco is an international asset manager offering an extensive range of active investments, from equities to bonds. Research lies at the heart of everything Robeco does, with a ‘pioneering but cautious’ approach that has been in its DNA since Robeco’s foundation in Rotterdam in 1929. Robeco believes strongly in sustainability investing, quantitative techniques and constant innovation. Robeco actively applies the sustainability data gathered by sustainability investing specialist RobecoSAM. For value equity investing propositions, Robeco teams up with the experts in this field at Boston Partners.
Image: Harbor Capital

Harbor Capital

Harbor uses a "manager of managers" approach to investing. Instead of hiring a large team of employees to analyze markets, research investments and build portfolios across many different asset classes, Harbor identifies experienced portfolio managers (subadvisers), with proven track records, who specialize in a particular asset class to make all of the day-to-day investment decisions for its funds. Harbor Capital Advisor establishes the objectives and strategies for each fund and closely monitors and evaluates the performance of each fund and its portfolio manager (the subadvisor).
Image: Boston Partners

Boston Partners

Boston Partners is a premier provider of value equity investment products that are firmly rooted in fundamental research and are based on a disciplined investment philosophy and process. Boston Partners, which currently manages $ 91billion (December2018), is focused on investing in companies with attractive value characteristics and strong business fundamentals, where there is a catalyst for positive change. Boston Partners acts as subadvisor of other mutual funds (e.g. John Hancock) for more than 50% of its asset under management. More than 80% of the total assets under management relates to US equity funds.
Image: Transtrend


Transtrend is a leading systematic investment manager, specialized in trend-based trading. Transtrend’s active and adaptive approach is the result of over 30 years of experience in researching markets and managing assets for its clients.
Transtrend’s trading program aims to deliver attractive risk-adjusted returns uncorrelated to the major asset classes. It has an absolute return objective and does not follow, nor specifically strives to outperform, any benchmark or index. Transtrend trades futures, forwards and swap markets globally across multiple asset classes, and has designed its program to capture the broader underlying trends that move these markets.
Image: Gravis Capital

Gravis Capital

GCM is an alternative asset management company that manages funds investing primarily in the U.K. infrastructure, renewable energy, and real estate sectors, with a significant ESG focus. GCM currently acts as investment manager or advisor for six funds, including a closed-end listed fund, with a total asset size of approximately 2.9 billion pounds (approximately 400 billion yen), and the funds’ investors are primarily institutional investors.

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