|
Active manager with structured investment processes, focused on European and Emerging Markets
WestLB Mellon Asset Management ('WMAM') has a distinct investment philosophy and process that combines fundamental-driven bottom-up stock selection with disciplined quantitative analysis; an adaptable approach that has yielded consistent results for investors. WMAM manages equity, bond and balanced mandates as well as convertibles, private equity and multi-manager strategies. Portfolios are managed against a wide variety of benchmarks, primarily for institutional investors.
WMAM offers clients both core and specialist products from its investment management offices in Dusseldorf, London, New York and Sydney.In addition, WMAM has client service offices in Madrid, Milan and Tokyo.
- Formed in 2006 as a 50:50 joint venture between WestLB and Mellon Financial Corporation
- Headquartered in London
- Assets under management US$51.5 billion*
- Active manager with a quantitative approach, focused on European and Emerging Markets
- Equities
- European
- Australian
- Emerging Markets
- Fixed Income
- Global
- European
- Emerging Markets
- Balanced
- European
- Asset Allocation
- Multi asset
- Convertibles
- Private Equity
- Multi-Manager
* Source: WestLB Mellon Asset Management as at 30 June 2007
Formed as a 50:50 joint venture between WestLB and The Bank of New York Mellon Corporation
|