Our Strategies
Our managers provide a diverse range of strategies across investment approaches, styles, and asset classes.
AHL Alpha
Trend-following
AHL Dimension
Multi-strategy
AHL Diversified
Trend-following
AHL Evolution
Trend-following liquid OTC
AHL Evolution Frontier
Trend-following OTC
AHL Macro
Systematic Macro
AHL TargetClimate
Multi-asset, long only
AHL TargetRisk
Multi-asset, long only
AHL Trend Inflation Defensive Equity
European Collateralised Loan Obligations
FRM Customised Diversified
FRM Diversified
FRM Emerging Markets
FRM Equity Alpha
FRM Event Equity & Distressed
FRM Global Equity Long Short
FRM Global Macro
FRM Managed Futures
GLG Absolute Value
GLG Alpha Novus
GLG Alpha Select
GLG Asia (ex-Japan) Equity
GLG Asia Credit Opportunities
GLG Asia Pacific (ex Japan) Equity Long-Short
GLG Continental European Growth
GLG Convertible Arbitrage
GLG Core Economy
GLG Emerging Markets Corporate Credit
GLG Emerging Markets Debt
GLG European High Yield Opportunities
GLG European Leaders Long-Short
GLG European Long-Short
GLG European Mid-Cap Equity
GLG Event Driven
GLG Global Convertibles
GLG Global Credit Multi Strategy
GLG Global Credit Opportunities
GLG Global Debt Total Return
GLG Global Investment Grade Opportunities
GLG Global Macro
GLG High Yield Opportunities
GLG Income
GLG Innovation Equity
GLG Japan CoreAlpha
GLG Pan-European Equity Growth
GLG RI Global Sustainable Growth
GLG RI Global Sustainable Growth Alternative
GLG RI Sustainable Credit Opportunities
GLG RI Sustainable Energy Transition
GLG RI Sustainable European Income
GLG Senior Secured Opportunities
GLG Sterling Corporate Bond
GLG Strategic Bond
GLG Sustainable Strategic Income
GLG Undervalued Assets
GLG US Collateralised Loan Obligations
GPM US Single-Family Rentals
Man 1783 Strategy
Man Alternative Risk Premia Strategy
Man Balanced Managed
Man Convertibles Europe
Man Dynamic Allocation
Man Multi-Strategy
Man Stockmarket Managed
Numeric Active US High Yield Bond
Numeric China A Core
Numeric Emerging Markets Core
Numeric Global Active Low Volatility
Numeric Global Core
Numeric Global ex-US Core
Numeric Liquid PE Alternative
Real Estate Debt – Real Estate Lending
Real Estate Equity – UK Community Housing
No strategies were found matching your filter criteria.
Responsible Investment
Man Group, as an asset manager and investor, has a fiduciary duty to maximise long-term, risk-adjusted investment returns for our clients. Our commitment to Responsible Investment (‘RI’) is fundamental to our corporate strategy, both as a listed company ourselves and in the nature and manner for which we provide investment services to our clients and beneficiaries. We believe that material risks—both systemic and idiosyncratic—are capable of impacting long-term value creation for the companies in which our funds and mandates invest. In this context, we seek to manage financially material ESG factors alongside all other relevant investment risks.
Man Group’s Responsible Investment Committee and Stewardship and Active Ownership Committee oversees the implementation of all RI policies and processes, as well as the firm’s stewardship capabilities, across Man Group’s investment engines.
As part of our commitment to responsible investment, Man Group is proud to be involved with many groups that promote responsible investment practices. Man Group is a signatory to the United Nations-supported Principles for Responsible Investment (‘PRI’), UK Stewardship Code, and the Standards Board for Alternative Investments (‘SBAI’).
At Man Group, we recognise that responsible investment (‘RI’) is fundamental to our fiduciary duty to deliver sustainable returns for our clients and beneficiaries. We understand the importance of sound stewardship in managing investors’ capital, and our approach to RI closely aligns us with the values of our clients, shareholders, and other stakeholders. To that extent, we apply responsible investment approaches that best inform our asset managers across all business groups of the material of environmental, social, and governance (‘ESG’) factors that may affect the risk and return profile of our clients’ entrusted assets.
Man Group’s Responsible Investment Committee and Stewardship and Active Ownership Committee oversees the implementation of all RI policies and processes, as well as the firm’s stewardship capabilities, across Man Group’s investment engines.
As part of our commitment to responsible investment, Man Group is proud to be involved with many groups that promote responsible investment practices. Man Group is a signatory to the United Nations-supported Principles for Responsible Investment (‘PRI’), UK Stewardship Code, and the Standards Board for Alternative Investments (‘SBAI’).
Man Solutions
Man Solutions draws upon the diverse expertise and specialist knowledge within Man Group’s investment engines, to create and run innovative and tailored ‘cross-engine’ investment programmes. Its aim is to develop and deliver cross-content commingled or bespoke portfolio solutions for our clients, as we seek to address their individual performance, portfolio construction and risk management objectives.
Man Solutions works closely with our sales and relationship management teams to fully understand our clients’ needs and how they can best be met. It enables us to offer our investors more tailored investment programmes, illustrating our commitment to putting clients at the heart of everything we do.
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