Gutmann Kapitalanlageaktiengesellschaft is a provider of comprehensive solutions in the field of investment funds. For its clients, the company develops bespoke solutions for public as well as special funds. Fund management relies on open portfolio management architecture. The core competencies of Gutmann Kapitalanlageaktiengesellschaft are asset allocation in bonds and stocks and in the sustainable investments segment.
Fund administration is a crucial component of comprehensive fund solutions and hence accounts for a major share of the range of services offered. Gutmann Kapitalanlageaktiengesellschaft boasts long-standing expertise developed through close collaboration with outside asset managers and the open portfolio management architecture introduced in the mid-1990s. This has also been a key factor in the successful collaboration on fund mandates with selected, internationally renowned portfolio management experts.
Gutmann Kapitalanlageaktiengesellschaft is a wholly owned subsidiary of Bank Gutmann AG. It is not affiliated with any other banks or industrial enterprises, which guarantees a large measure of independence and flexibility.
Gutmann Kapitalanlageaktiengesellschaft currently manages about 135 investment funds with total assets of about EUR 8.9 billion in public and special funds.