Albemarle Target Italy Fund
Long-only Italian equity fund targeting undervalued, high-quality Italian enterprises exhibiting robust balance sheets, strong competitive moats, and disciplined capital allocation.
Structured across EU-harmonised Irish UCITS umbrellas, Irish QIAIF alternative structures, global ICAV vehicles, and bespoke discretionary advisory mandates.
Albemarle Funds plc is an investment company with variable capital incorporated under Irish law, EU-harmonised, and authorised to operate in compliance with UCITS regulations. It operates as an umbrella structure offering sub-funds across distinct asset classes with varying risk/return profiles, fully integrating SFDR Article 8 environmental and social characteristics.
Long-only Italian equity fund targeting undervalued, high-quality Italian enterprises exhibiting robust balance sheets, strong competitive moats, and disciplined capital allocation.
Long-only European equity fund focused on industry-leading pan-European companies trading at a substantial discount to intrinsic private-market value.
Dynamic multi-asset allocation fund investing flexibly across European equities and fixed income securities to optimize risk-adjusted returns across market cycles.
European-focused corporate and sovereign bond fund deploying a disciplined quantamental (quantitative + fundamental) credit screening and yield-curve positioning model.
Long-only thematic equity fund targeting European corporations positioned to benefit from demographic aging and the secular expansion of the European “Silver Economy”.
Albemarle Alternative Funds is an investment company with variable capital based in Ireland, authorised under Qualifying Investor Alternative Investment Fund (QIAIF) regulations for qualified and institutional allocators. Launched in 2008, these funds target medium-to-long-term absolute returns uncorrelated with broader public equities.
Award-winning alternative fund pursuing absolute returns across European opportunities, winner of the prestigious HFM European Performance Award.
Specialized alternative investment vehicle dedicated to long-term capital compounding through concentrated, high-conviction positions.
Venture alternative fund investing in foundational, early-stage distributed ledger technologies, blockchain infrastructure, and decentralized protocols.
Dedicated alternative feeder vehicle delivering qualified investor access into the underlying PW Portfolio master asset structure.
Alternative strategy engineered to capture capital appreciation through opportunistic tactical investments and asymmetric event-driven positioning.
An Irish Collective Asset-management Vehicle (ICAV) for which Albemarle Asset Management acts as Global Distributor. The umbrella houses high-conviction strategies managed in partnership with renowned global managers such as Optima Asset Management.
A high-conviction “best ideas” UCITS fund pooling top equity picks across elite US hedge fund managers, spanning growth, value, and opportunistic disciplines with rigorous risk governance.
Asian equity UCITS strategy engineered to generate superior cycle-wide capital appreciation across Greater China, India, and Southeast Asia (Indonesia, Singapore, Vietnam, Thailand) with disciplined hedging.
Tailor-made investment mandates engineered for pension schemes, institutional trustees, professional clients, and family offices.
We offer customized advisory services built to satisfy the exacting operational, risk budget, and liability requirements of institutional investors. Our team provides rigorous portfolio construction, specialized European equity overlays, and full operational transparency supported by our robust London trading and risk infrastructure.
We help professional clients and family offices pursue their strategic wealth goals through tailored discretionary portfolio mandates. Unlike rigid standardized model portfolios, each mandate is configured around the principal's specific risk propensity, tax considerations, liquidity schedule, and long-term capital compounding goals.