Lombard Odier IM


Lombard Odier IM is the asset management business of Lombard Odier, focused on institutional investors and financial intermediaries. Lombard Odier has always been wholly owned and managed by its partners who are responsible for the day-to-day management of the firm. This independent structure means that we are able to focus 100% on our clients rather than shareholders.

100% focused on our clients

Smart Beta

Smart beta aims to deliver more efficient market exposure than traditional benchmarks.

  • Fundamental: our fixed income approach weighs issuers based on economic fundamentals rather than relying on debt levels.
  • Systematic: we apply a systematic approach to improve equity and alternatives strategies.
High Conviction

Our High Conviction teams aim to deliver alpha in benchmark-unconstrained, long-only portfolios while maximising risk-adjusted returns.

The teams have the freedom to focus on managing risk and generating returns.

Absolute return

Our Absolute Return investment teams target returns that are uncorrelated to market cycles and free from any systematic factors.

We also manage less liquid strategies which are designed to benefit from an illiquidity premium and aim to provide long-term protection from inflation.

Multi asset

We believe that risk-based asset allocation is key to achieving better diversification, capital protection and stable long-term performance.

In our view, clients’ objectives should be translated into a risk budget, rather than targeted returns.