BLI - Banque de Luxembourg Investments S.A. is the asset management company of Banque de Luxembourg, which houses the approved expertise in fund management, spanning three investment competencies: equities, fixed income and multi-asset strategies. Being located in Luxembourg, away from the noise of the major financial centres, allows BLI's team of investors to focus solely on unearthing quality investments across the world. Its know-how adheres to a number of key principles: active management, transparency, risk-awareness, and ESG responsibility. BLI manages and distributes a range of more than 30 investment funds with assets under management of 10.50 billion EUR on 31/12/2018.
Founded in the US in 1931, Capital Group is one of the world's largest independent investment managers, with more than $1.8 trillion* of assets under management. Investment management is our only business. Throughout our history of more than 80 years, our aim has always been to deliver superior, consistent results for long-term investors.
The stability of our privately owned organisation and our singular investment focus have enabled us to maintain a long-term perspective throughout the decades. We believe this helps to align our goals with the interests of our clients. The majority of our portfolio managers and analysts have witnessed several market cycles and have been with Capital Group for many years.
Our investment process is designed to enable individual investment professionals to act on their highest convictions, while limiting the risk associated with isolated decision-making. Fundamental proprietary research provided by our global network of experienced investment analysts forms the backbone of our approach.
We build our investment strategies with durability in mind, backed by our experience in varying market conditions. To this end, we believe that our strategies are well suited to deal with today's challenges of looking for sources of income in a lower-yielding environment and accessing growth with a less volatile profile of returns.
Generali Investments is one of the leaders in asset management, with over €450 billion of AUM*. We gather the Generali Group's primary investment companies, leveraging focused skillsets to create and share enduring value with our clients both inside and outside the Group. Our model is based on specialization, our companies and boutiques operate in clearly defined spaces with dedicated skills, professionals and advanced technological tools. As part of a world leading insurance and asset management group, our approach to SRI aims to produce value for the investors and for society as a whole, following a medium to long term oriented investment strategy.
*Data as at 31.12.2018, source Generali Investments Partners S.p.A. Società di gestione del risparmio
Principal Global Investors is a truly global investment management business providing a single point of access to a family of world-class investment boutiques. The independent knowledge of our boutiques allows us to offer a range of funds in both developed and emerging markets across the asset class spectrum. Our diverse range of asset managers with distinct investment specialties is available to family offices, wealth managers, intermediaries, and institutional investors. Today, we manage $412.7 billion of asset (as of 31 December 2018) on behalf of a broad range of investors from all over the world