Jupiter is a specialist, high conviction, active asset manager. It exists to help its clients achieve their long-term investment objectives. From its origins in 1985, Jupiter now offers a range of actively managed strategies available to UK and international clients including equities, fixed income, multi-asset and alternatives.

Jupiter is a constituent member of the FTSE 250 Index and has assets under management of £58.8 bn / USD81 bn / €69.1 bn as at 31 March 2021.

Allianz Global Investors is a leading asset manager with over 700 investment professionals in 23 offices worldwide. It manages over EUR 598 billion* in assets for individuals, families and institutions.

«Active» is the most important word in its vocabulary. It defines its entire approach as a business, from the enthusiasm and entrepreneurial spirit of its employees to how it assesses its performance. Its deep conviction is that human insight is essential to finding the best solution for its clients’ needs.

* Information as at 31 March 2021.

Voya IM is the asset management business of Voya Financial (NYSE: VOYA), a leading health, wealth and investment company. As of 31/12/2023, 318 bi USD in assets under management. Specialisation with scale, spanning public and private fixed income, equities, multi-asset solutions and alternative strategies. It is a top-50 asset manager globally by AUM. It has 300+ investment professionals and a 50-year investing heritage. Focused on understanding and anticipating client needs, and committed to diversity, equity and inclusion.

Investec partners with private, institutional, and corporate clients, offering international banking, investment and wealth management services in its core markets: the United Kingdom, Switzerland and South Africa, as well as in other countries. The Group was founded in 1974 and currently employs more than 7,400 people. Investec has a dual-listed company structure, with primary listings on the London and Johannesburg stock exchanges. At the end of September 2023, the company has 125 billion in assets under management.

The model portfolios managed by Investec are structured as Luxembourg-registered funds of funds and focus on identifying the best active asset managers for each asset class. This approach is achieved through a rigorous due diligence process of each Portfolio Manager and a high level of conviction in asset selection.