About ALPHAJET FAIR INVESTORS
ALPHAJET FAIR INVESTORS was founded with a clear conviction: active equity management must justify itself through measurable, consistent alpha — and it must do so in full view of its investors. The investment model at the heart of our firm was created in 1997 by our lead manager and has been refined through every market cycle since, including the dot-com crash, the 2008 financial crisis, the 2020 pandemic shock, and the inflation-driven volatility of recent years. Our team of three portfolio managers each brings 25 years of hands-on equity management experience, and they work from a single unified process rather than competing individual convictions. This unity of method is what allows us to maintain consistency across all our funds regardless of market conditions. We are based in Paris at 18 rue de la Pépinière, 75008, which places us at the heart of the European asset management community. Our commitment to transparency is not a marketing position — it is an operational practice: every fund's holdings are published daily, our benchmark indices are chosen to closely reflect our actual portfolios, and our ESG data is reported to PRI standards. We are proud signatories of the Principles for Responsible Investment, and we integrate sustainability analysis directly into our stock selection model. We believe investors deserve to choose active management with open eyes, and everything we build — from our reporting to our fund structures — is designed to give them exactly that.