Delft Partners

www.delftpartners.com

Delft Partners is an independent, employee-owned global fund management that specialises in providing sophisticated investment management solutions and services. Our team of experienced professionals each have, on average, over 25 years experience in investment management. Investment Strategies: • Global Equities • Asia Small Companies Equities • Global Listed Infrastructure Delft Partners offers strategies managed from an integrated investment process based on superior factor implementation - the Alpha Plus strategies - and more focused approaches with robust fundamental oversight through active stock selection. This includes our current equity investment strategy offerings as well as robustly tested capabilities in long/short and active extension styles. Our Alpha Plus Strategies are different from the majority of global equity strategies in their explicit approach to outperform smart beta strategies. Over longer time periods this approach aims to provide investors with higher risk adjusted returns than either capitalisation weighted or smart beta indices.

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Delft Partners is an independent, employee-owned global fund management that specialises in providing sophisticated investment management solutions and services. Our team of experienced professionals each have, on average, over 25 years experience in investment management. Investment Strategies: • Global Equities • Asia Small Companies Equities • Global Listed Infrastructure Delft Partners offers strategies managed from an integrated investment process based on superior factor implementation - the Alpha Plus strategies - and more focused approaches with robust fundamental oversight through active stock selection. This includes our current equity investment strategy offerings as well as robustly tested capabilities in long/short and active extension styles. Our Alpha Plus Strategies are different from the majority of global equity strategies in their explicit approach to outperform smart beta strategies. Over longer time periods this approach aims to provide investors with higher risk adjusted returns than either capitalisation weighted or smart beta indices.

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2010

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