About Us

Our Mission Statement

We are committed to our clients through the delivery of superior investment solutions and risk management services in line with regulatory requirements and leading market practices.

Company Outline

Global Funds Management S.A. ("GFM") is a Luxembourg-based investment fund manager founded in 1991 and supervised by the Commission de Surveillance du Secteur Financier (i.e. "CSSF"). GFM is authorised by the CSSF to act as UCITS Management Company and as Alternative Investment Fund Manager (i.e. AIFM).

GFM acts as a hub of expertise for investment funds regulatory and risk management solutions. The company has its own substance and has developed a fully-fledged risk management framework, including the monitoring and oversight of portfolio management and other delegated activities.

The product universe includes investment funds domiciled in Luxembourg and in the Cayman Islands and offers a variety of investment strategies and asset classes from traditional long-only portfolios (i.e. equity, fixed income, money market) to alternative strategies (i.e. hedge funds, fund of hedge funds, structured notes).

Type of Business Investment fund manager in charge of investment funds structuring and oversight
Date of Incorporation 8 July 1991
Representative Mr. Kristian GESINSKI
URL http://www.gfmanagement.lu/
Capital EUR 375,000
Shareholder Ultimate shareholder is Nomura Holdings Inc., listed on Tokyo, Nagoya, New York and Singapore stock Exchanges
Regulatory licenses
  • UCITS Management Company, under Chapter 15 of the Luxembourg Law of December 2010
  • AIFM, under Chapter 2 of the Luxembourg Law of July 2013
  • Manager of money market funds under the MMFR
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