Artemis Investment Management

Artemis Investment Management

Artemis Investment Management Logo

Founded

1997

AMG Affiliate Since

2010

Investment Discipline

Artemis believes that, whatever markets are doing, opportunities for above-average returns are available for active managers. 

The firm’s fund managers are collegiate, communicative and always keen to discuss and exchange investment ideas. Drawing on each other's experience and knowledge, sharing ideas and insights between teams, specialist units operate with support from the wider business towards a common goal. Artemis tries to keep bureaucracy to a minimum, allowing its managers to concentrate on what they do best – selecting the right stocks or bonds for clients within a clear framework of risk management. The firm’s managers have the freedom to invest without the constraints of a single house style or process.  The result is ‘high conviction’ portfolios that frequently have a ‘look and feel’ which is markedly different from those of competitors and the relevant benchmark. 

The Firm

Artemis was founded in 1997. Its aim was, and still is, exemplary investment performance and client service. All Artemis’ staff share these two precepts – and the same flair and enthusiasm for fund management.

The firm now manages a range of retail funds, investment trusts, hedge funds and both pooled and segregated institutional portfolios.


Investment Strategies

  • U.K. Equities - Income, Capital, U.K. Select, U.K. Smaller Companies, U.K. Special Situations
  • European Equities - European Growth, European Opportunities, Pan-European Absolute Return
  • U.S. Equities - U.S. Equity, U.S. Select, U.S. Smaller Companies, U.S. Extended Alpha, U.S. Absolute Return
  • Global Equities - Global Income, Global Select, Global Growth, Global Emerging Markets, Global Energy
  • Fixed Income - Strategic Bond, High Income
  • Multi-Asset - Monthly Distribution, Strategic Assets

Investment Vehicles

  • Separate Accounts
  • Pooled Funds

Assets Under Management

U.K. Equities 56%
Global Equities 21%
Fixed Income 9%
U.S. Equities 6%
Multi-Asset Funds 5%
European Equities 2%
Hedge Fund 0%
Emerging Markets Equities 0%

Percentages may not sum to 100% due to rounding; approximate breakdown subject to change.

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