Metzler stands for a clear approach to active management and the expertise to strike the right balance between risk and return.

We understand your goals, requirements, and needs.
Your goals and requirements come first. At Metzler Asset Management, we develop investment solutions that fit your specifications – across asset classes, regions, and market environments.
We actively manage equity, multi-asset, and fixed-income strategies. We incorporate sustainability considerations into our investment approach, complementing financial analysis and providing additional insight into opportunities and risks. Risk management solutions complement institutional portfolios where clear risk limits are required.
Through Metzler/Payden, we also provide access to specialized fixed-income strategies worldwide.

Alexander Damm
Head of Wholesale, Product Development & Strategy
Capture capital market opportunities while staying within defined risk limits.
Capital protectionInstitutional investors seek solutions that meet individual investment objectives and regulatory requirements. For some, predictable returns are the priority. For others, it’s capital preservation, liquidity, risk limitation, or sustainable investment. In most cases, several objectives need to be addressed at once. The key question is how to achieve them with a robust portfolio – in a targeted and resilient way.
For us, asset management means more than simply managing capital. We want to understand what a mandate is designed to achieve.
Based on our investment strategies and experience, we develop investment solutions tailored to your needs. Depending on your requirements, these may include mutual funds or special funds.
We incorporate sustainability considerations where they align with your objectives, the regulatory framework, and the investment strategy – complementing financial analysis and reflecting the needs of institutional investors.