Asset management

An active, global approach

Jeremy Touboul is Head of Asset Management at LIOR. Prior to founding LIOR, Jeremy worked as a senior manager in London, where he managed multi-billion euro bond and macro strategies for global institutional investors. His expertise earned him an AAA rating from Citywire and top-decile performances over the last decade of management.

Our approach is based on active, global, benchmark-free management, combining discipline and agility to offer our clients solid, sustainable performance in all market configurations.

Strategies covering the main asset classes: credit, equities, sovereign bonds, currencies.

Investment process combining macro/top-down analysis and bottom-up selection.

Active risk management and a constant search for diversification.

Our investment vehicles

LIOR owns the Luxembourg SICAV LIOR GP, regulated by the CSSF and administered by Caceis.

The SICAV is made up of several distinct sub-funds (FCP UCITS), each with its own investment policy, offering institutional and professional investors a recognized and secure framework.

At LIOR Global Partners, we offer our clients a complete range of funds:

Our Luxembourg SICAV LIOR GP :

Regulated by the CSSF, it comprises several UCITS sub-funds with diversified strategies.

The creation and management of discretionary "bespoke" mandates (foreign funds), tailored to the risk profile and specific objectives of each client:

Tailored to each client's specific risk profile and objectives.

Selecting and partnering with leading funds:

We collaborate with recognized managers to offer innovative, high-performance solutions designed to complement our expertise.

This approach gives our customers access to a differentiated offering that combines diversification, decorrelation and performance potential, within a secure, regulated framework.