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Why Charlemagne Capital?

Charlemagne Capital aims to generate superior risk-adjusted returns for its clients through its management of emerging market assets.

Our approach to investing in emerging markets is founded upon our experience and track record in the asset class, which in turn owes much to the quality of our investment team and the close relationships we build with the companies in which we invest.

We believe several factors give us a competitive advantage:

Focus
Charlemagne Capital has an undiluted commitment to investing in emerging markets.

Experience
Our investment professionals have spent their careers in emerging markets, with an average of 15 years in the industry.

Flexibility
We operate under a lean decision-making structure, allowing us to react swiftly to changing circumstances and making us more responsive to client needs. 

Discipline
Our investment process is based upon thorough due diligence allied with rigorous, price-driven modelling and integrated risk controls.