Fund centre
Our fund centre provides detailed information about our full product range in Luxembourg in Santander SICAV and Santander International SICAV.
About Santander Asset Management in Luxembourg
Santander Asset Management is an international asset manager with strong local roots in Europe and Latin America. With a presence in 10 countries, it has assets close to €225 billion*.
We have extensive experience in managing portfolios for all client types, whether these are corporations, insurance companies, pension funds, financial institutions, family offices or private individuals.
From our international platform in Luxembourg, we offer a wide range of investment solutions for investors seeking global diversification. Our product offering includes strategies in fixed income, equities and multi-asset portfolios, covering areas where we have comprehensive knowledge and experience: Europe and Latin America.
We provide outcome oriented solutions to our global clients through our GMAS team from pure beta strategies to systematic and fundamental balanced portfolios at different parts of the risk spectrum.
We offer a broad and comprehensive product offering in all asset classes in the countries where we have presence. In Latin America we come on the footsteps of the Group, where it is the biggest Bank in the Region, providing global solutions as well as purely local product expertise in Latin-American Corporates, Latin-American Equities, European Equities and Infrastructure debt.
Our fund centre provides detailed information about our full product range in Luxembourg in Santander SICAV and Santander International SICAV.
We provide an international platform for the Wealth Management business offering through their sub-funds a wide range of investment opportunities.
We provide you the legal and commercial documentation related to the products registered for sale, according to current regulations in Luxembourg.
Visit our global site for more information on our vision and global solutions for individual and professional investors
*The above figures are internally sourced as at 30/06/2024