“COMMITMENT, INTEGRITY AND CO-INVESTMENT”
It is in the year 2000 when Grupo March decides to create an Asset Management, March Gestión de Fondos, SGIIC. The Asset Management was created with assets worth €600mn invested in SICAVs and investment funds. From the beginning, our identifying traits have been the independence and objectivity. Coinciding with Banca March´s makeover in the year 2014 we also changed our name, becoming March Asset Management, SGIIC.
We started the activity managing, among others, the following strategies that remain ongoing in the present: our 3 Institutional SICAV: Torrenova de Inversiones, Cartera Bellver and Lluc Valores; our fixed income fund Fonmarch F.I.; and Equity, March Global, F.I.
Throughout this years we have grown with our clients, together, reaching a level of assets under our management of more than €6,300mn. Nowadays we manage apart from SICAVs and investment funds, pension funds and EPSVs, along with two SICAVs from Luxembourg.
One of our principal investment criteria is to maximise the brace return / risk, by means of a control of the risks that allows us to minimise the denominator.
To achieve consistent results the human capital is necessary and in March A.M. we have an experienced and cohesive management team, with over 22 year of experience in the sector.