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TwentyFour Asset Management

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uuid0006n37

Namestring
TwentyFour Asset Management
Legal namestring
TwentyFour Asset Management LLP
Company typeenum
Private
Founded yearint
2008
Descriptiontext

TwentyFour Asset Management LLP is a London-headquartered boutique fixed income investment manager founded in 2008, operating as a subsidiary of Swiss-based Vontobel Group. The firm specialises exclusively in credit and fixed income strategies, with concentrated capabilities across five strategy pillars: Short Term Bond, Strategic Income, Multi-Asset Credit, Asset-Backed Securities (RMBS, auto ABS, consumer ABS, CLOs) and Asset-Backed Finance — the last being a private credit strategy extended via bilateral, forward-flow, and securitisation exposures. The underlying capability is specialist credit research and structured product expertise rather than a technology platform product.

The firm generates revenue through recurring asset management fees on funds under management, distributed via UCITS-compliant mutual funds and institutional mandates. Distribution relies on financial intermediaries, financial advisors, and registered investment advisors (RIAs), with cross-border reach into the UK, broader Europe, the United States, and Australia facilitated primarily through Vontobel Group's distribution, wealth, and digital platforms (Vontobel Markets, Vontobel Wealth, deritrade, EAMNet).

Go-to-market is sales-led and reinforced by an extensive content and education platform — including a blog, Education Hub, Flash Fixed Income commentary, video hub, and email newsletter — used to deepen intermediary engagement. Partner-level portfolio managers have been recruited from Goldman Sachs, RBC Capital Markets, Daiwa Capital Markets, and Moody's, underpinning the firm's domain specialisation.

Short descriptiontext

TwentyFour Asset Management is a London-headquartered boutique fixed income specialist and Vontobel Group subsidiary offering ABS, CLO, short-term credit, multi-asset credit, and private credit strategies to financial intermediaries, advisors, and RIAs globally.

Operating statusenum
Operating
Ownership categoryenum
Headcount rangeband
51–100
akta.pro rankint
HeadquartersLondon, United Kingdom
HQ citystring
London
HQ countrystring
United Kingdom
HQ regionstring
Europe
Markets served

Serves global market

Offices1 record

Each record includes

City, Country, Type, Description, Source

Keyword5 values
fixed income management, asset-backed securities, collateralized loan obligations, short-term bond funds, multi-asset credit
Industry1 code
1Advisory Portfolio Management (Non-Discretionary)
CodeFSAAABADPrimaryYes
NAICS code2 codes
  • Open-End Investment Funds525910
  • Portfolio Management and Investment Advice52394
SIC code2 codes
  • Asset-Backed Securities6189
  • Investment Advice6282
Product category
Fixed Income Asset Management
GTM motion1 record

Each record includes

Type, Description, Source

Revenue model1 record
1Asset Management Fees
TypeSubscription Recurring
Description

TwentyFour Asset Management generates revenue through asset management fees charged on the funds under management, including mutual funds and institutional strategies in fixed income markets

twentyfouram.com
Marketing channels4 records

Each record includes

Title, Type, Stage, Description, Source

Distribution channels2 records

Each record includes

Title, Type, Scope, Target buyer, Description, Source

Cost components5 values
Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure
GTM typeB2B
B2B
Offering typeServices
Services
Core offering1 text field

TwentyFour Asset Management is a London-based boutique fixed income specialist that designs and manages investment strategies across asset-backed securities, CLOs, multi-asset credit, short-term bonds, and asset-backed finance. These strategies are made available to financial intermediaries, advisors, RIAs, and institutional clients primarily through UCITS-compliant mutual funds and bespoke mandates, with the firm charging asset-based management fees on assets under management.

Differentiator
Functional benefit
Problem solved
Product overview1 text field

TwentyFour Asset Management is a specialist fixed income boutique headquartered in London, operating as part of the Swiss-based Vontobel Group. The firm offers a range of investment strategies spanning short-term bonds, strategic income, multi-asset credit, asset-backed securities, and asset-backed finance. These strategies are available through mutual funds (UCITS vehicles), with a focus on European markets and various fixed income sub-sectors including CLOs, ABS, corporate bonds, and private credit opportunities. The investment approach emphasizes active management across the credit spectrum, with particular expertise in structured finance and short-dated credit solutions.

Product and service6 records
1Short Term Bond
CategoryInvestment Strategy
Description

A fixed income investment strategy focused on shorter-dated bonds with lower interest rate risk, designed to deliver stable income through high-quality corporate debt with shorter maturities for financial intermediaries and institutional investors.

2Strategic Income
CategoryInvestment Strategy
Description

A multi-sector bond strategy targeting attractive risk-adjusted returns through diversified exposure across corporate bonds, asset-backed securities, and other fixed income instruments for intermediary and institutional clients.

3Multi-Asset Credit
CategoryInvestment Strategy
Description

A diversified credit strategy offering exposure across multiple fixed income sub-sectors including corporate bonds, asset-backed securities, and other structured credit products for financial intermediaries and institutional investors.

4Asset-Backed Securities
CategoryInvestment Strategy
Description

An investment strategy focused on securities backed by pools of assets such as mortgages, auto loans, credit card receivables, and other consumer or corporate debt, offered to intermediaries and institutional clients.

5Asset-Backed Finance
CategoryInvestment Strategy
Description

A private credit strategy providing exposure to high-quality consumer and corporate asset pools through bilateral transactions, forward flow arrangements, and securitisation exposures, targeting returns of 10-12% spread over risk-free rates for institutional and intermediary investors.

6Mutual Funds
CategoryProduct Type
Description

UCITS-compliant pooled investment vehicles offering exposure to the firm's fixed income strategies across multiple asset classes and geographies, distributed to financial intermediaries and institutional investors.

Scale indicator1 record

Each record includes

Type, Value, Description, Source

Partnership1 partner
Strategic tierCoreTypeOthers
Description

TwentyFour Asset Management is a boutique of Swiss-based Vontobel Group. The partnership provides TwentyFour with access to Vontobel's broader asset management and wealth management platforms, including Vontobel Markets, Vontobel Wealth digital services, and the firm's distribution infrastructure.

Recent move6 records

Each record includes

Date, Type, Title, Description, Source

Expansion highlight5 records

Each record includes

Type, Description

Peers10 records
TypeDirect peer
Description

London-based fixed income asset manager owned by Bank of New York Mellon, with deep expertise in ABS, multi-asset credit, and liability-driven investment. Comparable to TwentyFour in product mix (ABS, multi-asset credit) and parent-affiliation distribution model.

TypeDirect peer
Description

Pasadena/London-headquartered fixed income specialist (Legg Mason/Franklin Templeton affiliate) managing global fixed income strategies including ABS, credit, and multi-sector. Comparable to TwentyFour in fixed income specialization and multi-strategy platform.

TypeBroad incumbent
Description

UK-based large asset manager with significant fixed income capabilities including credit and multi-asset funds. Overlaps with TwentyFour on European credit and short-dated strategies but operates at a much broader scale.

TypeBroad incumbent
Description

London-listed alternative investment manager with significant fixed income and credit capabilities. Adjacent to TwentyFour's credit-focused strategies but operates broader hedge fund and systematic mandates.

TypeDirect peer
Description

New York/London-based specialist private credit and fixed income boutique offering corporate credit, structured credit, and short-duration strategies. Closely comparable to TwentyFour's boutique scale, private credit / structured credit focus, and intermediary distribution.

TypeBroad incumbent
Description

Global private, independent, employee-owned investment manager with substantial fixed income and private credit franchises. Overlaps with TwentyFour on multi-asset credit, structured products, and short-duration credit but at much larger AUM.

TypeBroad incumbent
Description

Global investment manager owned by MassMutual offering fixed income, private credit, and structured finance strategies. Comparable to TwentyFour in ABS/CLO and private credit focus, though operating at significantly greater scale.

TypeDirect peer
Description

London-based fixed income specialist boutique owned by Royal Bank of Canada, focused on credit, CLOs, and emerging market debt. Closely comparable to TwentyFour in boutique scale, London domicile, specialization in European credit, and parent-bank affiliation.

TypeBroad incumbent
Description

One of the world's largest fixed income asset managers offering ABS, multi-asset credit, and short-duration strategies. Competes with TwentyFour in the same product categories but at vastly greater scale and broader portfolio scope.

TypeDirect peer
Description

London-based fixed income and ESG specialist acquired by Federated Investors. Comparable to TwentyFour in fixed income specialization, London base, and intermediary distribution; larger but operates with a boutique sub-brand structure.

Market position
Strengths5 records

Each record includes

Headline, Details, Source

Weaknesses5 records

Each record includes

Headline, Details, Source

Competitive moat4 records

Each record includes

Type, Details

Key risks5 records

Each record includes

Headline, Details, Source

Key highlights6 records

Each record includes

Headline, Details, Source

Customer concentration

Classification, Details

Segment1 record

Each record includes

Title, Type, Primary, Description, Pain point addressed, Use case, Source

Ideal customer profile1 record

Each record includes

Profile, Firmographic size, Sales motion, Sales cycle length, Buying structure, Purchase trigger, Buyer persona, Geography, Industry vertical, Primary use case, Description, Pain points, Evidence proof points, Target buyer

Technology focused
No
API detail
Has APIbool
No

Docs URL, Description

AI maturity
App detail

Has app

Feature5 records

Each record includes

Title, Differentiator, Description, Source

Core technology
Revenue estimate
Valuation estimate
Number of profiles
Profiles3 records

Each record includes

Name, Designation, Designation category, Overview, Profile commentary, Source

No data
No data
Funding overview

Funding stage, Last funding date, Total funding USD

Funding rounds

Each record includes

Round, Amount USD, Date, Pre money valuation, Total investors, Investors, News

Investors

Each record includes

Name, Type, Date of entry, Rounds participated, Website

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

M&A

Each record includes

Name, Acquisition type, Announced date, Completed date, Status, Website, News

Investment

Each record includes

Name, Round, Announced date, Lead investor, Website, News

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

TwentyFour Asset Management

Fixed Income Asset Managementtwentyfouram.com

TwentyFour Asset Management is a London-headquartered boutique fixed income specialist and Vontobel Group subsidiary offering ABS, CLO, short-term credit, multi-asset credit, and private credit strategies to financial intermediaries, advisors, and RIAs globally.

What TwentyFour Asset Management does

TwentyFour Asset Management LLP is a London-headquartered boutique fixed income investment manager founded in 2008, operating as a subsidiary of Swiss-based Vontobel Group. The firm specialises exclusively in credit and fixed income strategies, with concentrated capabilities across five strategy pillars: Short Term Bond, Strategic Income, Multi-Asset Credit, Asset-Backed Securities (RMBS, auto ABS, consumer ABS, CLOs) and Asset-Backed Finance — the last being a private credit strategy extended via bilateral, forward-flow, and securitisation exposures. The underlying capability is specialist credit research and structured product expertise rather than a technology platform product.

The firm generates revenue through recurring asset management fees on funds under management, distributed via UCITS-compliant mutual funds and institutional mandates. Distribution relies on financial intermediaries, financial advisors, and registered investment advisors (RIAs), with cross-border reach into the UK, broader Europe, the United States, and Australia facilitated primarily through Vontobel Group's distribution, wealth, and digital platforms (Vontobel Markets, Vontobel Wealth, deritrade, EAMNet).

Go-to-market is sales-led and reinforced by an extensive content and education platform — including a blog, Education Hub, Flash Fixed Income commentary, video hub, and email newsletter — used to deepen intermediary engagement. Partner-level portfolio managers have been recruited from Goldman Sachs, RBC Capital Markets, Daiwa Capital Markets, and Moody's, underpinning the firm's domain specialisation.

TwentyFour Asset Management firmographics

Firmographics
Name
TwentyFour Asset Management
Legal name
TwentyFour Asset Management LLP
Website
https://twentyfouram.com
Company type
Private
Founded year
2008
Operating status
Operating
Headcount range
51–100 employees
Short description
TwentyFour Asset Management is a London-headquartered boutique fixed income specialist and Vontobel Group subsidiary offering ABS, CLO, short-term credit, multi-asset credit, and private credit strategies to financial intermediaries, advisors, and RIAs globally.
Ownership category
akta.pro rank

TwentyFour Asset Management industry classification

Industry
Product category
Fixed Income Asset Management
NAICS
Open-End Investment Funds (525910), Portfolio Management and Investment Advice (52394)
SIC
Asset-Backed Securities (6189), Investment Advice (6282)
akta.pro primary industry
Advisory Portfolio Management (Non-Discretionary) (FSAAABAD)

Keywords

  • Fixed income management
  • Asset-backed securities
  • Collateralized loan obligations
  • Short-term bond funds
  • Multi-asset credit

Where TwentyFour Asset Management is headquartered

Location

Headquarters

HQ city
London
HQ country
United Kingdom
HQ region
Europe

Offices1 record

Markets served

TwentyFour Asset Management business model

Business model
GTM type
B2B
Offering type
Services
Cost components
Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure

Revenue model

  1. Asset Management Fees: TwentyFour Asset Management generates revenue through asset management fees charged on the funds under management, including mutual funds and institutional strategies in fixed income markets

Go-to-market motion1 record

Distribution channels2 records

Marketing channels4 records

TwentyFour Asset Management product offering

Product offering

Core offering

TwentyFour Asset Management is a London-based boutique fixed income specialist that designs and manages investment strategies across asset-backed securities, CLOs, multi-asset credit, short-term bonds, and asset-backed finance. These strategies are made available to financial intermediaries, advisors, RIAs, and institutional clients primarily through UCITS-compliant mutual funds and bespoke mandates, with the firm charging asset-based management fees on assets under management.

Product overview

TwentyFour Asset Management is a specialist fixed income boutique headquartered in London, operating as part of the Swiss-based Vontobel Group. The firm offers a range of investment strategies spanning short-term bonds, strategic income, multi-asset credit, asset-backed securities, and asset-backed finance. These strategies are available through mutual funds (UCITS vehicles), with a focus on European markets and various fixed income sub-sectors including CLOs, ABS, corporate bonds, and private credit opportunities. The investment approach emphasizes active management across the credit spectrum, with particular expertise in structured finance and short-dated credit solutions.

Differentiator

Problem solved

Functional benefit

Products and services

  • Short Term Bond A fixed income investment strategy focused on shorter-dated bonds with lower interest rate risk, designed to deliver stable income through high-quality corporate debt with shorter maturities for financial intermediaries and institutional investors.
  • Strategic Income A multi-sector bond strategy targeting attractive risk-adjusted returns through diversified exposure across corporate bonds, asset-backed securities, and other fixed income instruments for intermediary and institutional clients.
  • Multi-Asset Credit A diversified credit strategy offering exposure across multiple fixed income sub-sectors including corporate bonds, asset-backed securities, and other structured credit products for financial intermediaries and institutional investors.
  • Asset-Backed Securities An investment strategy focused on securities backed by pools of assets such as mortgages, auto loans, credit card receivables, and other consumer or corporate debt, offered to intermediaries and institutional clients.
  • Asset-Backed Finance A private credit strategy providing exposure to high-quality consumer and corporate asset pools through bilateral transactions, forward flow arrangements, and securitisation exposures, targeting returns of 10-12% spread over risk-free rates for institutional and intermediary investors.
  • Mutual Funds UCITS-compliant pooled investment vehicles offering exposure to the firm's fixed income strategies across multiple asset classes and geographies, distributed to financial intermediaries and institutional investors.

Companies that use TwentyFour Asset Management

Customer profile

Segments1 record

Ideal customer profiles1 record

TwentyFour Asset Management technology and API

Technology

Technology focussed No

API detail

Has API
No
API docs
API detail

Core technology

AI maturity

App detail

Feature5 records

TwentyFour Asset Management partnerships and signals

Strategic signal

Partnerships

One partnership is on record.

  • Vontobel GroupcoreOthersTwentyFour Asset Management is a boutique of Swiss-based Vontobel Group. The partnership provides TwentyFour with access to Vontobel's broader asset management and wealth management platforms, including Vontobel Markets, Vontobel Wealth digital services, and the firm's distribution infrastructure.

Scale indicators1 record

Recent moves6 records

Expansion highlights5 records

TwentyFour Asset Management competitors and assessment

Company assessment

Direct peers

  • Insight Investment: London-based fixed income asset manager owned by Bank of New York Mellon, with deep expertise in ABS, multi-asset credit, and liability-driven investment. Comparable to TwentyFour in product mix (ABS, multi-asset credit) and parent-affiliation distribution model.
  • Western Asset Management: Pasadena/London-headquartered fixed income specialist (Legg Mason/Franklin Templeton affiliate) managing global fixed income strategies including ABS, credit, and multi-sector. Comparable to TwentyFour in fixed income specialization and multi-strategy platform.
  • Muzinich & Co: New York/London-based specialist private credit and fixed income boutique offering corporate credit, structured credit, and short-duration strategies. Closely comparable to TwentyFour's boutique scale, private credit / structured credit focus, and intermediary distribution.
  • BlueBay Asset Management: London-based fixed income specialist boutique owned by Royal Bank of Canada, focused on credit, CLOs, and emerging market debt. Closely comparable to TwentyFour in boutique scale, London domicile, specialization in European credit, and parent-bank affiliation.
  • Federated Hermes (Hermes Investment Management): London-based fixed income and ESG specialist acquired by Federated Investors. Comparable to TwentyFour in fixed income specialization, London base, and intermediary distribution; larger but operates with a boutique sub-brand structure.

Broad incumbents

  • M&G Investments: UK-based large asset manager with significant fixed income capabilities including credit and multi-asset funds. Overlaps with TwentyFour on European credit and short-dated strategies but operates at a much broader scale.
  • Man Group: London-listed alternative investment manager with significant fixed income and credit capabilities. Adjacent to TwentyFour's credit-focused strategies but operates broader hedge fund and systematic mandates.
  • Neuberger Berman: Global private, independent, employee-owned investment manager with substantial fixed income and private credit franchises. Overlaps with TwentyFour on multi-asset credit, structured products, and short-duration credit but at much larger AUM.
  • Barings: Global investment manager owned by MassMutual offering fixed income, private credit, and structured finance strategies. Comparable to TwentyFour in ABS/CLO and private credit focus, though operating at significantly greater scale.
  • PIMCO: One of the world's largest fixed income asset managers offering ABS, multi-asset credit, and short-duration strategies. Competes with TwentyFour in the same product categories but at vastly greater scale and broader portfolio scope.

Market position

Strengths5 records

Weaknesses5 records

Competitive moat4 records

Key risks5 records

Key highlights6 records

Customer concentration

TwentyFour Asset Management social profiles

Digital presence

TwentyFour Asset Management financial estimates

Financial estimate

Revenue estimate

Valuation estimate

TwentyFour Asset Management leadership team

Management profile

Number of profiles

Profiles3 records

TwentyFour Asset Management funding detail

Funding detail

Funding overview

Funding rounds

Investors

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

TwentyFour Asset Management M&A and investment

M&A and investment

M&A

Investments

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Frequently asked questions about TwentyFour Asset Management

What does TwentyFour Asset Management do?

TwentyFour Asset Management is a London-based boutique fixed income specialist that designs and manages investment strategies across asset-backed securities, CLOs, multi-asset credit, short-term bonds, and asset-backed finance. These strategies are made available to financial intermediaries, advisors, RIAs, and institutional clients primarily through UCITS-compliant mutual funds and bespoke mandates, with the firm charging asset-based management fees on assets under management.

Is TwentyFour Asset Management a public or private company?

TwentyFour Asset Management is a private company. It is classified as corporate owned and is currently operating.

When was TwentyFour Asset Management founded?

TwentyFour Asset Management was founded in 2008. It employs 51 to 100 people.

Where is TwentyFour Asset Management based?

TwentyFour Asset Management is headquartered in London, United Kingdom, in the Europe region.

How does TwentyFour Asset Management make money?

One revenue line is on record: asset Management Fees.

Who are TwentyFour Asset Management's main competitors?

Direct peers on record are Insight Investment, Western Asset Management, Muzinich & Co, BlueBay Asset Management and Federated Hermes (Hermes Investment Management). Broad incumbents are M&G Investments, Man Group, Neuberger Berman, Barings and PIMCO.

Does TwentyFour Asset Management have an API?

No public API is recorded for TwentyFour Asset Management.

What industry is TwentyFour Asset Management in?

TwentyFour Asset Management's product category is Fixed Income Asset Management. Its primary akta.pro industry code is FSAAABAD, Advisory Portfolio Management (Non-Discretionary). Its NAICS code is 525910 and its SIC code is 6189.

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Live signals
EleconomistaLas gestoras dudan de que las recompras del Tesoro de EEUU puedan contener el rendimiento de los bonosInternational investment managers doubt that the US Treasury's announcement to double bond buybacks to over $4 billion will sustainably contain rising yields, noting that rates quickly rebounded after an initial dip. Analysts from firms like Robeco and Twenty Four AM argue that structural issues, including high public debt exceeding $40 trillion and competitive corporate borrowing for AI investments, limit the effectiveness of this short-term intervention. Consequently, experts suggest that significant yield reductions are unlikely without broader fiscal consolidation or a slowdown in economic growth.FinanzNachrichten.deFed-Glaubwürdigkeit im Fokus: Fehlende Orientierung erhöht Unsicherheit an den AnleihemärktenTwentyFour Asset Management's Felipe Villarroel has commented on the US Federal Reserve's changed communication strategy following its recent interest rate decision, arguing that markets are increasingly focused on trust in the Fed's forward guidance rather than current interest rate levels. Villarroel states that when the central bank fails to clearly articulate its view on the economy and inflation, it creates a vacuum that markets fill with their own assumptions. He emphasizes that credibility is a currency built over years but can be damaged quickly by inconsistent messaging.FinanzNachrichten.deTwentyFour Asset Management lanciert Multi-Asset-Credit-FondsTwentyFour Asset Management, a London-based fixed income boutique owned by Swiss financial group Vontobel, has launched a new Multi-Asset-Credit (MAC) fund, expanding its product offering. The fund launch represents a strategic expansion of the boutique's portfolio but constitutes a routine product announcement rather than a major market event. No specific financial details, fund size, or launch date were provided in the available article excerpt.PR NewswireVontobel Asset Management Wins Global Equity Strategy of the YearVontobel Asset Management's Quality Growth Boutique won the Global Equity Strategy of the Year award at the 2020 Pension Bridge Institutional Asset Management Awards in New York. The boutique was also shortlisted alongside Vontobel's Twenty Four Asset Management in four additional categories including Active International Equity, Active US Equity, Active US Large Cap, and Active Global Fixed Income strategies. Over 200 applicants competed across all categories, with winners selected through a two-stage judging process evaluating quantitative performance metrics and qualitative factors such as ESG integration and customer servicing.