Trusted by 2,400+ Investors

Active Fund Management Built for Long-Term Growth

We combine rigorous fundamental analysis with disciplined risk management to deliver consistent, market-beating returns for institutional and private investors.

Portfolio Snapshot

AUM€1.2B
5-Yr Annualised+11.4%
Sharpe Ratio1.32
Active Strategies8
€1.2BAssets Under Management
15+Years of Experience
2,400+Active Investors
8Investment Strategies
What We Offer

Comprehensive Fund Management Solutions

From equity-focused active funds to multi-asset strategies, we provide tailored investment solutions designed for every risk profile.

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Active Equity Funds

Concentrated portfolios of high-conviction equity positions selected through deep fundamental analysis and proprietary screening models.

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Multi-Asset Strategies

Dynamically balanced allocations across equities, fixed income, and alternatives to optimise returns while managing downside risk.

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Portfolio Advisory

Bespoke advisory services for high-net-worth individuals and institutions seeking personalised investment guidance and wealth planning.

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Why Active Investing

Outperform Passive Benchmarks Through Expertise

While passive funds track indices, active management allows experienced professionals to capitalise on market inefficiencies, avoid overvalued securities, and protect capital during downturns.

  • Alpha generation through stock selection
  • Downside protection in volatile markets
  • Flexible allocation across market cycles
  • ESG integration and responsible investing
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Our Funds

Featured Investment Funds

Explore our range of actively managed funds designed to deliver consistent risk-adjusted returns across different market environments.

ActiFund Growth Equity

Focused on high-growth European companies with strong competitive advantages and expanding addressable markets.

YTD Return+14.2%
Risk LevelModerate-High

ActiFund Balanced

A multi-asset approach blending equities and fixed income for investors seeking steady growth with lower volatility.

YTD Return+8.7%
Risk LevelModerate

ActiFund Dividend Income

Targets high-quality dividend-paying stocks to generate reliable income streams with capital appreciation potential.

Yield4.3%
Risk LevelModerate
View All Funds
Our Process

How We Invest

A disciplined, repeatable investment process that has been refined over 15 years of market experience.

1

Research

Deep fundamental analysis combining quantitative screening with qualitative assessment of management quality and competitive positioning.

2

Selection

High-conviction position sizing based on risk-reward asymmetry, valuation margins of safety, and portfolio correlation analysis.

3

Monitoring

Continuous oversight of portfolio holdings with real-time risk analytics and regular fundamental reassessment of investment theses.

4

Optimisation

Dynamic rebalancing driven by evolving market conditions, new opportunities, and changes in the risk-return profile of existing positions.

Client Stories

What Our Investors Say

Hear from the institutions and individuals who trust ActiFund with their capital.

"ActiFund's disciplined approach to active management has consistently delivered alpha for our pension fund. Their transparency and communication are exemplary."

Marc D. - Pension Fund Director

"The team's ability to navigate volatile markets while protecting our capital has been remarkable. We've been investors for seven years and counting."

Sophie L. - Family Office Manager

"What sets ActiFund apart is their research depth. Every position in the portfolio has a clear, well-articulated investment thesis backed by rigorous analysis."

Thomas R. - Institutional Allocator

From Our Compliance Desk

Protecting Investors Starts at Onboarding

Capital protection is only half the job — knowing exactly who we're managing money for is the other half.

Fraud & Compliance

Fake IDs Go Digital: The Rising Cost of Fraudulent Documents for Financial Institutions

AI-generated fake IDs are now sophisticated enough to pass first-generation verification checks, and industry-wide document fraud losses exceed $20 billion a year. As a regulated manager onboarding investors under FSMA oversight, we apply the same rigor to who we let through the door as we do to portfolio risk. Our latest research breaks down how these synthetic documents are built, how modern verification systems catch them, and what regulators now expect.

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Ready to Grow Your Wealth Actively?

Join thousands of investors who trust ActiFund to deliver consistent, risk-adjusted returns through expert active management.