Santander Asset Management

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Investment Thesis

Santander Asset Management is a global asset manager with a multi-local approach, combining deep local knowledge with a global strategy. They aim to be the best-in-class investment solution provider in Europe and the Americas, building long-term relationships with clients. The firm manages over €256 billion in assets for individual clients, institutional investors, and brokers. Santander Asset Management focuses on providing innovative solutions and long-term value, emphasizing sustainable and responsible investing. They offer a comprehensive range of products with a balance between risk and return, combining fundamental research with risk management to generate alpha. The firm is committed to creating a positive impact on society and the environment. Their investment outlook for 2026 anticipates sustained growth and contained inflation, highlighting global equity, fixed income (Brazil and UK), and gold as major investment ideas. They are also incorporating alternative assets in multi-asset portfolios, harnessing structural returns through a proprietary Capital Market Assumptions model.

Stage Focus
Not specified

Preferred startup development maturity for initial funding deployment.

Sectors & Themes

Global equity, Fixed income, Alternative investments, Sustainable investing, Multi-asset portfolios, Illiquid assets

Core thematic spaces, technologies, and target market segments of interest.

Check Size Range
N/A

Standard financial allocation per investment round.

Outreach & Dossier Intelligence

Direct Verification Contact Email Pattern

[email protected] | [email protected]

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