risks.

The following risks may be materially relevant but may not always be adequately captured by the summary risk indicator and may cause additional loss: Credit risk, Liquidity risk and Concentration risk. Sustainability risks may lead to a significant deterioration in the financial profile, profitability or reputation of an underlying investment and may therefore have a significant impact on its market price or liquidity. The environmental, social, and governance (“ESG”) considerations discussed herein may affect an investment team’s decision to invest in certain companies or industries from time to time. Results may differ from portfolios that do not apply similar ESG considerations to their investment process.

glossary.

Global Carbon Opportunity

The alpha potential of a growing market, key to the environmental transition.


Access to actively-managed, long-biased exposure to potentially attractive risk/reward carbon opportunities globally.

introducing carbon markets.

why carbon now?

our strategy.

why us?

our investment process.

1.
Universe
selection

2.
Investment
idea generation

3.
Portfolio
construction

4.
Portfolio
management

 

team.

investment team.

Callum-Lee-Author.png

Callum Lee
Portfolio Manager

 

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Ruben Lubowski
Chief Carbon and Environmental Markets Strategist

 

sustainability.

   
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Adriana Becerra-Cid
Sustainability Manager

 

 

The composition of the investment team may change.

insights.

get in touch.

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important information.

This document is a Corporate Communication and is intended for Professional Investors only. This document is a Corporate Communication for Professional Investors only and is not a marketing communication related to a fund, an investment product or investment services in your country. This document is not intended to provide investment, tax, accounting, professional or legal advice. This document is issued by Lombard Odier Asset Management (Europe) Limited (hereinafter the “Company”).

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