Fund Management
We offer both Alternative and UCITS funds whose strategies aim to provide superior performance results over time, grounded in active, benchmark-agnostic stock selection and disciplined risk management.
Explore Funds →We live in a complex environment filled with uncertainties and continuous change. We embrace these challenges using experience, integrity, and rationality to generate excess returns and preserve client capital through independent research.
Albemarle Asset Management structures UCITS umbrella funds, Irish QIAIF alternative vehicles, and customized discretionary mandates designed to meet exacting institutional requirements.
Access our full suite of Irish UCITS sub-funds, Qualifying Investor Alternative Investment Funds (QIAIF), and specialized thematic mandates.
Download audited financial statements, PRIIPs KIDs, SFDR Article 8 sustainability disclosures, and monthly performance factsheets.
Providing European equity, fixed income, and alternative strategies structured to deliver superior capital compounding over long-term cycles.
We offer both Alternative and UCITS funds whose strategies aim to provide superior performance results over time, grounded in active, benchmark-agnostic stock selection and disciplined risk management.
Explore Funds →We support our institutional clients with tailor-made strategies configured to satisfy unique liability profiles, regulatory constraints, and specific liquidity hurdles with absolute operational transparency.
Institutional Solutions →We provide customized discretionary portfolio management to professional clients and family offices, calibrated directly to individual performance objectives, risk tolerances, and time horizons.
Wealth Mandates →Independent from benchmark constraints. Market indices are utilized purely for comparative performance measurement, never as asset allocation guides.
Portfolios are dynamically adjusted according to shifting macroeconomic cycles, monetary conditions, and underlying corporate valuations.
We exploit periods of macro stress and irrational market pessimism, viewing market dislocations as premier entry opportunities for high-conviction ideas.
Regulated fund umbrellas offering institutional-grade governance across European public equities, quantamental credit, and alternative investments.
Long-only Italian equity fund targeting undervalued, high-quality businesses with strong competitive advantages, robust balance sheets, and resilient cash generation.
Long-only European equity fund focused on industry-leading enterprises trading at a steep discount to intrinsic private-market values across continental Europe.
Multi-award-winning alternative strategy designed to generate absolute, benchmark-uncorrelated returns through asymmetric, opportunistic market positioning.
Consistent recognition from European financial institutions and prestigious asset management award panels.
Named “Leader in Value-Driven Investment Strategies UK 2024” in recognition of independent research rigor and disciplined European investment execution.
Winner of the premier European hedge fund performance accolade for the alternative flagship White Rhino Fund.
Consecutive winner of the High Performance Award awarded by Italy's leading financial daily newspaper for outperformance in equity management.
Whether you are an institutional mandate trustee, family office principal, or professional allocator, we welcome discussions regarding our strategies and advisory frameworks.