Equity markets continued their rebound in March, but at a slower pace than in the first two months of the year. Indeed, Brexit and disappointing macro-indicators have impacted investors’ behavior, prompting central bankers to maintain their accommodative policies. Return over the past...
Author - Sycomore AM
Sycomore Asset Management is one of the top independent asset managers in France. Majority-held (90%) by its founding partners and employees, it manages €8 billion through open-end funds and separate managed accounts.
Our expertise: conviction-based management based on a deep fundamental analysis of European companies through a proprietary analysis tool.
Our philosophy: invest in companies that are able to create value on a sustainable basis for all their stakeholders.
As such, ESG (Environment-Social-Governance) research is fully integrated into our investment process and our SRI (Socially Responsible Investing) strategy amounts to 20% of our total assets.
Our motivation relies on three core values - boldness, cohesion and engagement - shared amongst all our employees.
Since our creation in 2001, we have put a strong emphasis on human capital as we believe it triggers value creation. We strive for a challenging and stimulating working environment, convinced it will lead to employee self-motivation and professional fulfillment.