Jupiter Asset Management is a high conviction, active fund manager committed to making a positive difference for clients by helping them achieve their long-term investment objectives through the aim of delivering superior returns after fees. From our origins in 1985 as a specialist investment boutique, Jupiter now offers a broad range of actively managed strategies available to UK and international clients including equities, fixed income, multi-asset and absolute return.
Independence of thought and individual accountability define us. Our distinct, entrepreneurial culture, based on giving talented professionals the freedom to pursue their own investment styles within a collaborative environment, distinguishes us from our peers. Our fund managers follow their convictions and seek those investment opportunities that they believe will ensure the best outcome for our clients. They do this through fundamental analysis and research, a clear investment process and risk management framework, with a focus on good stewardship.
Jupiter is headquartered in London, with a growing international presence. The company is listed on the FTSE 250 having floated on the London Stock Exchange in June 2010.
In February 2020, Jupiter announced the proposed acquisition of Merian Global Investors, an independent UK-based active asset management group. Following shareholder and regulatory approvals, we are pleased to have successfully completed this acquisition on 1 July 2020.