What makes us different
What we do:
- The Co-operative Asset Management specialises in active UK equities
- bottom-up stock selection is combined with the application of carefully developed themes to construct detailed investment cases on undervalued companies.
Our approach to responsible investment:
- fully integrates consideration of financial as well as ESG (environmental, social and governance) issues when selecting companies for investment
- is applied across all the funds and mandates we manage on behalf of retail, pension fund and life company clients.
The investment approach for our core fund range is characterised by a number of features suited to long-term personal investors:
- a structured investment process based on proven principles
- in line with the long-term objectives of the funds, we identify and apply long-term themes which drive stock selection and we hold companies for 3 – 4 years (compared to the industry average of only 1 year)
- the rigorous stock selection process, incorporating an integrated evaluation of financial and ESG (environmental, social and governance) issues, ensures we arrive at a clear, thorough and informed view of each company we invest in.





