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Should you need further information, please contact us.

Contact our team


Asset management
Our investment funds are managed by teams of professionals at Pictet Asset Management (PAM), the Pictet Group's institutional management division.


Fund administration
Our experience in conceiving and setting up investment funds is a major advantage for independent asset managers, institutional managers and private investors who are looking to launch a new investment fund.

Fund administration services are offered exclusively by our bank in Luxembourg, in close collaboration with our Global Custody and Investor Services division.


Overview of our funds

Pictet enjoys an excellent reputation throughout the world. It is acknowledged as one of the premiere financial institutions in Europe specialising in investments on behalf of private and institutional clients. Today, Pictet is also one of the leading European distributors of funds and fund-related solutions.
 
Pictet employs more than 700 professionals who are involved in the financial management and administration of its products.

Experience and expertise of managing funds
Pictet's experience in terms of asset management includes the sectors of private banking, institutional management and investment funds.

The latter are managed by proven management teams, guaranteeing investors an outstanding level of expertise.

By focusing on the specific needs of each client, we develop investment solutions that comprise all asset classes and categories of investment fund.


Alternative funds
Within the framework of the management agreement drawn up with the client, we offer private and institutional investors a broad spectrum of products, which includes alternative funds, such as private equity and hedge funds.

The Bank's PAI Department, Pictet Alternative Investments, gives investors access to the world's top alternative fund managers, applying the principle of an open architecture.

The products are selected and undergo an in-depth assessment based on quantitative and qualitative criteria. We then track the investments through regular meetings with the fund managers and by performing systematic evaluations of the risks incurred at all levels.

The approach is a long-term one, the objective being to minimise risk.