Lux Gest Asset Management S.A.

Founded in Luxembourg in 2007 and wholly owned by Intesa Sanpaolo Bank Luxembourg S.A.

Licensed as Professional of the Financial Sector (PSF) by the Luxembourg Ministry of Finance, Lux Gest Asset Management S.A. is supervised by the Commission de Surveillance du Secteur Financier (CSSF).

Lux Gest Asset Management S.A. is authorized to the management of UCITS (art 101(2), law of l 17 december 2010). The company’s core activity is to provide with services related to the management, administration and marketing of alternative investment vehicles (art 5, law of 12 july 2013) – SICAV, RAIF and SIF -.

TAILOR-MADE AND FLEXIBLE INVESTMENT SOLUTIONS

The investment fund proposal ranges from standardized solutions to customized structures to meet the needs of the most demanding customers.
Lux Gest Asset Management S.A. offers the double advantage of a flexible structure and a team of professionals with extensive experience in the financial markets.
The Company specializes in the management of bond, equity, absolute return and flexible sub-funds.

PRODUCTS & SERVICES

Fund Management

UCITS Fund Investment & Asset Management

Alternative Fund Investment Management (FIA)

Risk Analysis & Management

Funds

Luxicav

Luxicav Plus

The investment fund proposal ranges from standardized solutions to customized structures to meet the needs of the most demanding customers. The company is composed by a team of professionals with extensive experience in the financial markets.

Lux Gest Asset Management S.A. guides you in all phases of the constitution and administration of your project in investment funds: from assistance in identifying the most appropriate legal form, preparing the documentation and presenting it to the regulator, up to the approval of the project.
We also offer domiciliation and company secretarial services, such as documentation safekeeping, management of all external communications (CSSF, custodian bank, transfer agent), and organization of Boards of Directors and shareholders' meetings.
Through an efficient pass-porting system and global recognition of regulated investment vehicles in the European Union and Luxembourg, we are able to manage and market your alternative investment funds across the EU.

The company offers an integrated risk management & control system, a fundamental part of the decision-making process.
A prudent risk management policy makes it possible to identify, analyze and manage the financial risks inherent in investments.
The system of continuous monitoring, through various risk indicators in line with the risk profile and the investment strategy of each sector, is aimed at ensuring consistency with the investment policies and compliance with regulatory requirements.
The company Control & Reporting system ensure rapid assessment and management of financial risks and include a full range of indicators consistent with the risk profile and investment strategy of each sub-fund.