- CEO
- Teun Johnston
- Full Time Employees
- 237
- Sector
- Financial Services
- Industry
- Asset Management
- Address
- Cassini House, 57 St James's Street London ENG United Kingdom SW1A 1LD
- IPO Date
- Jan 1, 2014
- Business
- Artemis Global Income I Acc (0P0000W36K.L) is a fixed income fund management vehicle focused on delivering targeted income and capital preservation through a diversified, active management approach; the strategy seeks exposure to high-quality global fixed income assets with an emphasis on income generation, risk control, and liquidity management; the fund leverages Artemis Fund Managers Ltd as the management company, with investment operations coordinated from its headquarters in the United Kingdom. The fund operates within the Artemis Funds platform, offering investors access to a suite of income-oriented strategies and related advisory services. The primary business activity centers on managing and distributing a blue-chip, higher-yielding fixed income portfolio for institutional and professional clients, including pension funds, insurers, wealth managers, and other fiduciaries; the vehicle emphasizes credit research, duration management, and sector allocation within sovereign, supranational, and corporate issuances.
Main Products and Services:
- Fixed income investment management for Artemis Global Income I Acc; discretionary portfolio construction and ongoing risk-adjusted return optimization; asset selection across global sovereign, supranational, agency, corporate, and securitized instruments; duration and yield optimization; income generation strategies; liquidity and cash management; bespoke client reporting and performance analytics.
- Investment advisory and governance framework; risk oversight and compliance monitoring; semi-annual and quarterly investment updates; client-specific investment policy translation and mandate adherence; regulatory reporting and disclosures.
- Fund distribution and client services through Artemis Funds platform; channel support for institutional distributors; account setup, onboarding, and Know Your Customer (KYC) controls; performance attribution, fee management, and periodic statements; investor communications and disclosures.
Latest Major Company Changes:
- Strategic alliances and partnerships: expands distribution reach through revised partnerships with key wealth-management networks and institutional platforms to broaden access to the Artemis Global Income I Acc mandate.
- Fund actions and governance: periodic updates to investment process architecture and governance protocols to enhance oversight of risk, liquidity, and stress-testing capabilities within the portfolio construction framework.
- Product development: enhancements to reporting suite and client portal to deliver more granular, real-time insight into income generation, credit exposure, and scenario analysis.
- Operational shifts: scaling of back-office infrastructure and technology integration to support increased fund inflows and regulatory reporting requirements; continued organizational alignment within Artemis Funds to support global client base.
- Corporate actions: no material rebranding; no major name changes reported; ongoing optimization of fund administration and sub-administration relationships to improve service levels and efficiency within the last 1-2 years.
Additional Context:
- Industry and segments: asset management; fixed income; multi-asset income strategies; institutional and professional investor services.
- Target markets: institutional clients (pension plans, insurers, endowments), wealth managers, multi-family offices, and professional traders seeking steady income with capital preservation characteristics.
- Geographic operations: global investment activities with a focus on developed and emerging markets across multiple regions; operations guided from the United Kingdom with distribution in Europe and other regions via Artemis Funds network.
- Founding year and headquarters: Artemis Fund Managers Ltd operates under the Artemis Funds umbrella; Artemis Funds is headquartered in the United Kingdom.
- Subsidiaries/parent relationships: part of the Artemis Funds family, with Artemis Fund Managers Ltd serving as the management entity; no standalone major subsidiary disclosed for the master fund outside the fund complex.