Alken Asset Management
An independent boutique, more than two decades in the making.
Alken Asset Management is the designated investment manager of the Alken Fund. Established in 2005 as an independently owned European equity boutique, the firm has grown deliberately: fixed income in 2018, quantitative research through Cabestan in 2021, and private debt in 2023. Specialised, independent teams operate within a shared framework of long-term conviction and rigorous research.
- Established
- 2005
- Domicile
- London

01
Key Figures*
2005
Year of creation
3.1
Billion euros under management
14
Investment professionals
10
Managed strategies
AuM as of 28/08/2026
02
Investment Philosophy
- Pursuing a high conviction, concentrated and pragmatic investment approach.
- Aiming at having a robust, flexible and replicable investment process focused on identifying critical drivers of long-term performance.
- Having an extensive expertise in their area of responsibility with each team being fully independent.
- Making investment decisions according to the risk profile of the team's strategies.
- Considering environmental, social and governance factors as an integral part of our investment process.
Independent by design, concentrated by conviction. We invest the way we would if every position were our own.

03
The Investment Team
European Equities
* External consultant to Alken AM.
Global Fixed Income
Risk and Trading