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Jupiter Asset Management
JUPITER ASSET MANAGEMENT LIMITED is an SEC-registered investment adviser in LONDON, registered since 2021.
Jupiter Asset Management
JUPITER ASSET MANAGEMENT LIMITED is an SEC-registered investment adviser in LONDON, registered since 2021. The firm manages approximately $68.2 billion in assets. It has 408 employees and 70 investment advisers.
General information
Firm type
Asset Manager
Year founded
1985
AUM
Undisclosed
Location
Region
Europe
Country
United Kingdom
City
London
Corporate office
London, United Kingdom
Additional offices
Hong Kong · Singapore · Luxembourg · Frankfurt · Milan · Madrid · Stockholm · Zurich · Vienna · Munich
Principals
Matthew Beesley
Chief Executive Officer
Andrew Formica
Former Chief Executive Officer
Sector focus
Frequently asked questions
Who runs investment decisions at Jupiter?
Individual fund managers hold full discretion over their portfolios. There is no central investment committee dictating sector allocations or macro overlays. The firm's governance structure enforces compliance and risk limits, but stock selection and position sizing rest with the named manager on each fund.
How does Jupiter source investment ideas?
Managers run their own research agendas, supported by a central analyst pool focused on UK and European equities. Fixed-income and Asian equity teams operate with dedicated local analysts in London and Hong Kong. The siloed structure means idea generation rarely crosses desks, a deliberate feature of the firm's culture.
Is Jupiter involved in private equity or venture capital?
No. Jupiter's alternatives exposure is limited to listed infrastructure and absolute-return funds. The firm has no direct private equity, venture capital, or co-investment programs, distinguishing it from multi-asset platforms that blend public and private markets.
What is Jupiter's posture on co-investments alongside external managers?
Jupiter does not operate a co-investment platform. All investor capital is deployed through pooled fund vehicles run by internal managers. External manager relationships are limited to sub-advisory arrangements on select white-label products, not co-investment clubs.
How has the Merian acquisition affected Jupiter's strategy?
The 2020 acquisition of Merian Global Investors added scale in UK and global equities but also brought overlapping funds and manager turnover. Since 2022, CEO Matthew Beesley has consolidated product lines, closed subscale strategies, and reoriented distribution toward core active mandates. The integration is still being digested by the market.
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