GCM is an independent Belgian 'boutique' asset manager specialized in liquid multi asset investment strategies.
It was established in 2002 and is registered as Alternative Investment Fund Manager (AIFM) with the Belgian Financial Services and Markets Authority (FSMA).
At GCM we take a systematic approach to investing, using both fundamental economic and price data inputs.
Dynamic asset allocation and strict risk management drives our investment process.
Proprietary quantitative models are used to make asset allocation decisions and to invest capital across different asset classes.
To view our current asset allocation or to get more information on funds managed by GCM,
qualified investors can register and request a password to get full access to the website.
Performance and asset allocation is currently updated as of 31 October 2023.
You can subscribe to our weekly newsletter here.
It was established in 2002 and is registered as Alternative Investment Fund Manager (AIFM) with the Belgian Financial Services and Markets Authority (FSMA).
At GCM we take a systematic approach to investing, using both fundamental economic and price data inputs.
Dynamic asset allocation and strict risk management drives our investment process.
Proprietary quantitative models are used to make asset allocation decisions and to invest capital across different asset classes.
To view our current asset allocation or to get more information on funds managed by GCM,
qualified investors can register and request a password to get full access to the website.
Performance and asset allocation is currently updated as of 31 October 2023.
You can subscribe to our weekly newsletter here.
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