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Anthos Fund & Asset Management

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uuid000b67y

Namestring
Anthos Fund & Asset Management
Legal namestring
Anthos Fund & Asset Management B.V.
Websiteurl
anthosam.com
Company typeenum
Private
Founded yearint
1929
Descriptiontext

Anthos Fund & Asset Management B.V. is an Amsterdam-based, privately held values-based asset manager established in 1929 to invest the wealth of the Brenninkmeijer family and wholly owned through COFRA Holding AG. Operating under AFM supervision and holding B Corp, UNPRI signatory, GIIN member, GREEN member, and EU SFDR credentials, Anthos serves faith-based organisations, foundations, families, and institutional clients with comprehensive asset management and investment advisory services.

The firm operates a fund-of-funds architecture delivered through six investment strategies — Absolute Return, Equities, Real Estate, Multi-Asset Impact, Private Equity, and Fixed Income — alongside two solution wrappers (OCIO and the Bregal Anthos Private Equity Fund) and a Luxembourg-domiciled SICAV umbrella (Anthos Fund II RAIF-SICAV) hosting Euro Investment Grade Bond, Global High Yield Bond, Euro Aggregate Bond, Emerging Markets Bond, and Impact Investing sub-funds. Underlying manager selection is supported by proprietary ESG and impact tooling (an ESG Scorecard grounded in UN PRI DDQ / OECD Guidelines / GRESB, an internal IMP Scorecard yielding A/B/C/M-D labels, and a dedicated Impact Assessment Tool), with active ownership and engagement embedded in stewardship across asset classes.

Anthos earns recurring asset management and OCIO advisory fees on portfolios under management across liquid and illiquid strategies, charging fees for designing, building, and dynamically managing multi-asset portfolios on behalf of professional clients within the meaning of Dutch financial supervision law. Distribution is direct and enterprise-led, with no public fee schedule and no external institutional shareholders, and the firm deploys approximately 65 staff across its Amsterdam headquarters.

Short descriptiontext

Anthos Fund & Asset Management is an Amsterdam-based, family-owned (COFRA Holding) values-based asset manager founded in 1929, providing multi-asset investment management and OCIO services to faith-based organisations, foundations, families, and institutional clients.

Operating statusenum
Operating
Ownership categoryenum
Headcount rangeband
11–50
akta.pro rankint
HeadquartersAmsterdam, Netherlands
HQ citystring
Amsterdam
HQ countrystring
Netherlands
HQ regionstring
Europe
Markets served

Serves global market

Offices1 record

Each record includes

City, Country, Type, Description, Source

Keyword5 values
values-based asset management, responsible investment advisory, ESG investment strategies, impact investing funds, outsourced chief investment officer
Industry5 codes
1Values-Based/ESG & Impact-Focused RIAs
CodeFSAAACAKPrimaryYes
2Multi-Asset ESG / Sustainable Allocation Strategies
CodeFSAAAJAKPrimaryNo
3ESG Integration / Responsible Investment Funds (Broad ESG)
CodeFSANAJALPrimaryNo
4ESG/Sustainable Investment Advisory
CodeFSAEAAAJPrimaryNo
5Impact / ESG Multi-Manager Platforms
CodeFSANAGAJPrimaryNo
NAICS code2 codes
  • Portfolio Management and Investment Advice523940
  • Open-End Investment Funds525910
SIC code2 codes
  • Investment Advice6282
  • Finance Services6199
Product category
Asset Management
GTM motion2 records

Each record includes

Type, Description, Source

Revenue model2 records
1Asset Management Fees
TypeSubscription Recurring
Description

Anthos generates revenue through asset management fees charged on portfolios under management. The firm manages assets across multiple strategies including absolute return, equities, fixed income, real estate, multi-asset impact, and private equity for institutional clients.

anthosam.com
2OCIO (Outsourced CIO) Fees
TypeSubscription Recurring
Description

Full-service investment solution where Anthos acts as long-term investment partner, charging fees for designing, building, and dynamically managing multi-asset portfolios on behalf of clients.

anthosam.com
Marketing channels4 records

Each record includes

Title, Type, Stage, Description, Source

Distribution channels3 records

Each record includes

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

Cost components6 values
Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure, Others
GTM typeB2B
B2B
Offering typeServices
Services
Core offering1 text field

Anthos Fund & Asset Management is a Netherlands-based asset manager providing values-based investment management and advisory services across multiple asset classes (absolute return, equities, fixed income, real estate, multi-asset impact, and private equity). The firm operates primarily through segregated mandates, pooled funds (RAIF-SICAV sub-funds), an Outsourced Chief Investment Officer (OCIO) solution, and a private equity fund-of-funds in partnership with Bregal. ESG and impact considerations are integrated across all strategies, with a focus on four impact themes: Climate, Healthcare, Financial Inclusion, and Education.

Differentiator
Functional benefit
Problem solved
Quantifiable outcome1 of 5 values shown
  • Anthos targets financial returns of at least CPI core inflation for eurozone + 3% through its Multi-Asset Impact Strategy
+4 more records
Product overview1 text field

Anthos Fund & Asset Management is a values-based asset management firm offering a comprehensive suite of investment strategies and solutions. The portfolio includes six core investment strategies (Absolute Return, Equities, Real Estate, Multi-Asset Impact, Private Equity, and Fixed Income), two solution offerings (OCIO and the Bregal Anthos Private Equity Fund), and multiple sub-fund products under the Anthos Fund II RAIF-SICAV umbrella (Euro Investment Grade Bond Fund, Global High Yield Bond Fund, Euro Aggregate Bond Fund, Emerging Markets Bond Fund, and Impact Investing Fund). All offerings integrate responsible investing principles with ESG criteria, with the Impact Investing Fund specifically targeting four impact themes: Healthcare, Education, Financial Inclusion, and Climate.

Product and service7 records
1Absolute Return Strategies
CategoryInvestment Strategy
Description

Diversified hedge fund exposure delivered through a values-based, responsible-investing lens for professional clients.

2Equities
CategoryInvestment Strategy
Description

Values-based global equity investing across public markets with ESG integration.

3Real Estate
CategoryInvestment Strategy
Description

Real estate investments targeting both financial returns and measurable social impact for professional clients.

4Multi-Asset Impact Strategy
CategoryInvestment Strategy
Description

Multi-asset impact investing strategy spanning healthcare, education, financial inclusion and climate themes with ESG integration.

5Private Equity
CategoryInvestment Strategy
Description

Fund-of-funds exposure to lower mid-market buy-out and growth equity opportunities in Europe and North America with a responsible investing overlay.

6Fixed Income
CategoryInvestment Strategy
Description

Diversified solutions across the debt universe including investment grade, high yield, emerging market debt, and aggregate bond strategies.

7Outsourced Chief Investment Officer (OCIO)
Scale indicator5 records

Each record includes

Type, Value, Description, Source

Partnership1 partner
Strategic tierCoreTypeStrategic or Co-development Partner
Description

Bregal Anthos is a strategic collaboration between Bregal Private Equity Partners and Anthos Fund & Asset Management. This specialized private equity platform brings together Bregal's expertise and global network of fund managers with Anthos' values-driven investment approach, governance framework, and long-term client relationships. Since 2002, the platform has invested more than €7 billion.

Recent move6 records

Each record includes

Date, Type, Title, Description, Source

Expansion highlight5 records

Each record includes

Type, Description

Peers10 records
TypeDirect peer
Description

Dutch-based values-driven asset manager offering sustainable and impact investment funds across multiple asset classes. Highly comparable to Anthos given shared Dutch origin, multi-asset sustainability mandate, and similar focus on impact themes and institutional/family-office clients.

TypeDirect peer
Description

Geneva-based impact investment manager operating fund-of-funds and direct strategies across emerging and frontier markets. Highly comparable to Anthos's Bregal Anthos platform and broader impact investing fund given shared emerging-markets focus, fund-of-funds heritage and multi-theme impact mandate.

TypeDirect peer
Description

Dutch sustainable asset manager offering multi-asset mandates, impact investing and OCIO services to institutional and wholesale clients. Directly comparable to Anthos given overlapping geography, OCIO capability, ESG integration depth and institutional client focus.

TypeDirect peer
Description

Dutch asset manager providing multi-asset mandates, fiduciary management and OCIO solutions to pensions, foundations and family offices. Comparable to Anthos on OCIO service model, Dutch institutional focus and multi-asset capabilities; the two firms also share senior leadership alumni (Anthos CRIO Jelle Ritzerveld was previously CRO at Kempen).

TypeEmerging player
Description

Zurich-based impact asset manager focused on emerging-market climate, financial inclusion and food security themes. Comparable to Anthos's impact investing and Asia exposure given a shared emerging-markets impact mandate; the firms also have a documented co-investor relationship through responsAbility's Asia Climate Strategy fund.

TypeBroad incumbent
Description

Large Dutch asset manager with deep ESG integration, multi-asset capabilities and significant institutional client base. Comparable to Anthos on geography, sustainability credentials and asset-class breadth, though operates at much greater scale and offers a broader mainstream product range.

TypeEmerging player
Description

Emerging-markets venture and growth impact investor focused on financial inclusion across Latin America, Africa and Asia. Comparable to Anthos's emerging-markets impact exposures (e.g. BuyMed, Quona portfolio company Creditas) and shared themes of financial inclusion; Anthos has allocated capital to Quona.

TypeBroad incumbent
Description

Large Dutch asset manager (acquired by Goldman Sachs Asset Management) with strong sustainable investing franchise and institutional client base. Comparable to Anthos on Dutch institutional market, ESG integration, and family of sub-fund products; Anthos's Chief Client Officer previously held senior ESG roles at NN IP.

TypeBroad incumbent
Description

Swiss private bank and asset manager with strong sustainability/ESG franchise, multi-asset solutions and family-office focus. Comparable to Anthos on OCIO-style multi-asset mandates, family-office client base and ESG-led positioning; Anthos's outgoing CEO Jacco Maters previously headed structured solutions at Lombard Odier.

TypeRegional player
Description

Dutch institutional asset manager (subsidiary of Achmea) with fiduciary management and ESG integration capabilities. Comparable to Anthos's institutional client focus and Dutch pension/foundation market; Anthos's Supervisory Board Chairman Leen Meijaard also chairs Achmea IM's supervisory board.

Market position
Strengths5 records

Each record includes

Headline, Details, Source

Weaknesses5 records

Each record includes

Headline, Details, Source

Competitive moat6 records

Each record includes

Type, Details

Key risks6 records

Each record includes

Headline, Details, Source

Key highlights7 records

Each record includes

Headline, Details, Source

Customer concentration

Classification, Details

Named customers7 records

Each record includes

Name, Industry, Type, Use case, Source, UUID

Segment5 records

Each record includes

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

Ideal customer profile3 records

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

Feature3 records

Each record includes

Title, Differentiator, Description, Source

Core technology
Revenue estimate
Valuation estimate
Number of profiles
Profiles7 records

Each record includes

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

Subsidiaries2 records

Each record includes

Name, Acquired on, Relationship type, Type, Business focus

Compliance9 records

Each record includes

Name, Class, Description

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 →

Anthos Fund & Asset Management

Asset Managementanthosam.com

Anthos Fund & Asset Management is an Amsterdam-based, family-owned (COFRA Holding) values-based asset manager founded in 1929, providing multi-asset investment management and OCIO services to faith-based organisations, foundations, families, and institutional clients.

What Anthos Fund & Asset Management does

Anthos Fund & Asset Management B.V. is an Amsterdam-based, privately held values-based asset manager established in 1929 to invest the wealth of the Brenninkmeijer family and wholly owned through COFRA Holding AG. Operating under AFM supervision and holding B Corp, UNPRI signatory, GIIN member, GREEN member, and EU SFDR credentials, Anthos serves faith-based organisations, foundations, families, and institutional clients with comprehensive asset management and investment advisory services.

The firm operates a fund-of-funds architecture delivered through six investment strategies — Absolute Return, Equities, Real Estate, Multi-Asset Impact, Private Equity, and Fixed Income — alongside two solution wrappers (OCIO and the Bregal Anthos Private Equity Fund) and a Luxembourg-domiciled SICAV umbrella (Anthos Fund II RAIF-SICAV) hosting Euro Investment Grade Bond, Global High Yield Bond, Euro Aggregate Bond, Emerging Markets Bond, and Impact Investing sub-funds. Underlying manager selection is supported by proprietary ESG and impact tooling (an ESG Scorecard grounded in UN PRI DDQ / OECD Guidelines / GRESB, an internal IMP Scorecard yielding A/B/C/M-D labels, and a dedicated Impact Assessment Tool), with active ownership and engagement embedded in stewardship across asset classes.

Anthos earns recurring asset management and OCIO advisory fees on portfolios under management across liquid and illiquid strategies, charging fees for designing, building, and dynamically managing multi-asset portfolios on behalf of professional clients within the meaning of Dutch financial supervision law. Distribution is direct and enterprise-led, with no public fee schedule and no external institutional shareholders, and the firm deploys approximately 65 staff across its Amsterdam headquarters.

Anthos Fund & Asset Management firmographics

Firmographics
Name
Anthos Fund & Asset Management
Legal name
Anthos Fund & Asset Management B.V.
Website
https://anthosam.com
Company type
Private
Founded year
1929
Operating status
Operating
Headcount range
11–50 employees
Short description
Anthos Fund & Asset Management is an Amsterdam-based, family-owned (COFRA Holding) values-based asset manager founded in 1929, providing multi-asset investment management and OCIO services to faith-based organisations, foundations, families, and institutional clients.
Ownership category
akta.pro rank

Anthos Fund & Asset Management industry classification

Industry
Product category
Asset Management
NAICS
Portfolio Management and Investment Advice (523940), Open-End Investment Funds (525910)
SIC
Investment Advice (6282), Finance Services (6199)
akta.pro primary industry
Values-Based/ESG & Impact-Focused RIAs (FSAAACAK)
akta.pro secondary industries
Multi-Asset ESG / Sustainable Allocation Strategies (FSAAAJAK), ESG Integration / Responsible Investment Funds (Broad ESG) (FSANAJAL), ESG/Sustainable Investment Advisory (FSAEAAAJ), Impact / ESG Multi-Manager Platforms (FSANAGAJ)

Keywords

  • Values-based asset management
  • Responsible investment advisory
  • ESG investment strategies
  • Impact investing funds
  • Outsourced chief investment officer

Where Anthos Fund & Asset Management is headquartered

Location

Headquarters

HQ city
Amsterdam
HQ country
Netherlands
HQ region
Europe

Offices1 record

Markets served

Anthos Fund & Asset Management business model

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

Revenue model

  1. Asset Management Fees: Anthos generates revenue through asset management fees charged on portfolios under management. The firm manages assets across multiple strategies including absolute return, equities, fixed income, real estate, multi-asset impact, and private equity for institutional clients.
  2. OCIO (Outsourced CIO) Fees: Full-service investment solution where Anthos acts as long-term investment partner, charging fees for designing, building, and dynamically managing multi-asset portfolios on behalf of clients.

Go-to-market motion2 records

Distribution channels3 records

Marketing channels4 records

Anthos Fund & Asset Management product offering

Product offering

Core offering

Anthos Fund & Asset Management is a Netherlands-based asset manager providing values-based investment management and advisory services across multiple asset classes (absolute return, equities, fixed income, real estate, multi-asset impact, and private equity). The firm operates primarily through segregated mandates, pooled funds (RAIF-SICAV sub-funds), an Outsourced Chief Investment Officer (OCIO) solution, and a private equity fund-of-funds in partnership with Bregal. ESG and impact considerations are integrated across all strategies, with a focus on four impact themes: Climate, Healthcare, Financial Inclusion, and Education.

Product overview

Anthos Fund & Asset Management is a values-based asset management firm offering a comprehensive suite of investment strategies and solutions. The portfolio includes six core investment strategies (Absolute Return, Equities, Real Estate, Multi-Asset Impact, Private Equity, and Fixed Income), two solution offerings (OCIO and the Bregal Anthos Private Equity Fund), and multiple sub-fund products under the Anthos Fund II RAIF-SICAV umbrella (Euro Investment Grade Bond Fund, Global High Yield Bond Fund, Euro Aggregate Bond Fund, Emerging Markets Bond Fund, and Impact Investing Fund). All offerings integrate responsible investing principles with ESG criteria, with the Impact Investing Fund specifically targeting four impact themes: Healthcare, Education, Financial Inclusion, and Climate.

Differentiator

Problem solved

Functional benefit

Products and services

  • Absolute Return Strategies Diversified hedge fund exposure delivered through a values-based, responsible-investing lens for professional clients.
  • Equities Values-based global equity investing across public markets with ESG integration.
  • Real Estate Real estate investments targeting both financial returns and measurable social impact for professional clients.
  • Multi-Asset Impact Strategy Multi-asset impact investing strategy spanning healthcare, education, financial inclusion and climate themes with ESG integration.
  • Private Equity Fund-of-funds exposure to lower mid-market buy-out and growth equity opportunities in Europe and North America with a responsible investing overlay.
  • Fixed Income Diversified solutions across the debt universe including investment grade, high yield, emerging market debt, and aggregate bond strategies.
  • Outsourced Chief Investment Officer (OCIO)

Quantifiable outcome

  • Anthos targets financial returns of at least CPI core inflation for eurozone + 3% through its Multi-Asset Impact Strategy
  • +4 more outcomes

Companies that use Anthos Fund & Asset Management

Customer profile

Named customers7 records

Segments5 records

Ideal customer profiles3 records

Anthos Fund & Asset Management technology and API

Technology

Technology focussed No

API detail

Has API
No
API docs
API detail

Core technology

AI maturity

App detail

Feature3 records

Anthos Fund & Asset Management partnerships and signals

Strategic signal

Partnerships

One partnership is on record.

  • Bregal Private Equity PartnerscoreStrategic or Co-development PartnerBregal Anthos is a strategic collaboration between Bregal Private Equity Partners and Anthos Fund & Asset Management. This specialized private equity platform brings together Bregal's expertise and global network of fund managers with Anthos' values-driven investment approach, governance framework, and long-term client relationships. Since 2002, the platform has invested more than €7 billion.

Scale indicators5 records

Recent moves6 records

Expansion highlights5 records

Anthos Fund & Asset Management competitors and assessment

Company assessment

Direct peers

  • Triodos Investment Management: Dutch-based values-driven asset manager offering sustainable and impact investment funds across multiple asset classes. Highly comparable to Anthos given shared Dutch origin, multi-asset sustainability mandate, and similar focus on impact themes and institutional/family-office clients.
  • BlueOrchard Finance: Geneva-based impact investment manager operating fund-of-funds and direct strategies across emerging and frontier markets. Highly comparable to Anthos's Bregal Anthos platform and broader impact investing fund given shared emerging-markets focus, fund-of-funds heritage and multi-theme impact mandate.
  • Actiam: Dutch sustainable asset manager offering multi-asset mandates, impact investing and OCIO services to institutional and wholesale clients. Directly comparable to Anthos given overlapping geography, OCIO capability, ESG integration depth and institutional client focus.
  • Kempen Capital Management: Dutch asset manager providing multi-asset mandates, fiduciary management and OCIO solutions to pensions, foundations and family offices. Comparable to Anthos on OCIO service model, Dutch institutional focus and multi-asset capabilities; the two firms also share senior leadership alumni (Anthos CRIO Jelle Ritzerveld was previously CRO at Kempen).

Emerging players

  • responsAbility Investments: Zurich-based impact asset manager focused on emerging-market climate, financial inclusion and food security themes. Comparable to Anthos's impact investing and Asia exposure given a shared emerging-markets impact mandate; the firms also have a documented co-investor relationship through responsAbility's Asia Climate Strategy fund.
  • Quona Capital: Emerging-markets venture and growth impact investor focused on financial inclusion across Latin America, Africa and Asia. Comparable to Anthos's emerging-markets impact exposures (e.g. BuyMed, Quona portfolio company Creditas) and shared themes of financial inclusion; Anthos has allocated capital to Quona.

Broad incumbents

  • Robeco: Large Dutch asset manager with deep ESG integration, multi-asset capabilities and significant institutional client base. Comparable to Anthos on geography, sustainability credentials and asset-class breadth, though operates at much greater scale and offers a broader mainstream product range.
  • NN Investment Partners: Large Dutch asset manager (acquired by Goldman Sachs Asset Management) with strong sustainable investing franchise and institutional client base. Comparable to Anthos on Dutch institutional market, ESG integration, and family of sub-fund products; Anthos's Chief Client Officer previously held senior ESG roles at NN IP.
  • Lombard Odier Investment Managers: Swiss private bank and asset manager with strong sustainability/ESG franchise, multi-asset solutions and family-office focus. Comparable to Anthos on OCIO-style multi-asset mandates, family-office client base and ESG-led positioning; Anthos's outgoing CEO Jacco Maters previously headed structured solutions at Lombard Odier.

Regional players

  • Achmea Investment Management: Dutch institutional asset manager (subsidiary of Achmea) with fiduciary management and ESG integration capabilities. Comparable to Anthos's institutional client focus and Dutch pension/foundation market; Anthos's Supervisory Board Chairman Leen Meijaard also chairs Achmea IM's supervisory board.

Market position

Strengths5 records

Weaknesses5 records

Competitive moat6 records

Key risks6 records

Key highlights7 records

Customer concentration

Anthos Fund & Asset Management social profiles

Digital presence

Anthos Fund & Asset Management compliance and trust

Trust signal

Compliance9 records

Anthos Fund & Asset Management financial estimates

Financial estimate

Revenue estimate

Valuation estimate

Anthos Fund & Asset Management leadership team

Management profile

Number of profiles

Profiles7 records

Anthos Fund & Asset Management subsidiaries and ownership

Company hierarchy

Subsidiaries2 records

Anthos Fund & Asset Management funding detail

Funding detail

Funding overview

Funding rounds

Investors

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

Anthos Fund & 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 Anthos Fund & Asset Management

What does Anthos Fund & Asset Management do?

Anthos Fund & Asset Management is a Netherlands-based asset manager providing values-based investment management and advisory services across multiple asset classes (absolute return, equities, fixed income, real estate, multi-asset impact, and private equity). The firm operates primarily through segregated mandates, pooled funds (RAIF-SICAV sub-funds), an Outsourced Chief Investment Officer (OCIO) solution, and a private equity fund-of-funds in partnership with Bregal. ESG and impact considerations are integrated across all strategies, with a focus on four impact themes: Climate, Healthcare, Financial Inclusion, and Education.

Is Anthos Fund & Asset Management a public or private company?

Anthos Fund & Asset Management is a private company. It is classified as family owned and is currently operating.

When was Anthos Fund & Asset Management founded?

Anthos Fund & Asset Management was founded in 1929. It employs 11 to 50 people.

Where is Anthos Fund & Asset Management based?

Anthos Fund & Asset Management is headquartered in Amsterdam, Netherlands, in the Europe region.

How does Anthos Fund & Asset Management make money?

Two revenue lines are on record. Asset Management Fees are the primary driver. The others are OCIO (Outsourced CIO) Fees.

Who are Anthos Fund & Asset Management's main competitors?

Direct peers on record are Triodos Investment Management, BlueOrchard Finance, Actiam and Kempen Capital Management. Emerging players are responsAbility Investments and Quona Capital. Broad incumbents are Robeco, NN Investment Partners and Lombard Odier Investment Managers. Achmea Investment Management is listed as a regional player.

Does Anthos Fund & Asset Management have an API?

No public API is recorded for Anthos Fund & Asset Management.

What industry is Anthos Fund & Asset Management in?

Anthos Fund & Asset Management's product category is Asset Management. Its primary akta.pro industry code is FSAAACAK, Values-Based/ESG & Impact-Focused RIAs, with a secondary code of FSAAAJAK, Multi-Asset ESG / Sustainable Allocation Strategies. Its NAICS code is 523940 and its SIC code is 6282.

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Live signals
YahooAnthos Fund & Asset Management appoints new CEOAnthos Fund & Asset Management has appointed Ronald Wuijster as its new chief executive, effective 10 August 2026, succeeding Jacco Maters who is stepping down after eight years in the role, pending regulatory approval from the Dutch Authority for the Financial Markets (AFM). Wuijster brings more than 30 years of international investment management experience, most recently serving as CEO of APG Asset Management where he oversaw more than €600bn in assets under management. The company stated that Wuijster's experience in building out a leading private investment platform will be invaluable as Anthos enters its next phase of growth.Private Banker InternationalAnthos Fund & Asset Management appoints new CEOAnthos Fund & Asset Management appointed Ronald Wuijster as CEO, effective 10 August 2026, succeeding Jacco Maters after eight years. Wuijster brings over 30 years of experience, including eight years as CEO of APG Asset Management overseeing €600bn in assets. The appointment is subject to regulatory approval from the Dutch AFM.finews.chNeuer CEO für Anthos Fund & Asset ManagementRonald Wuijster has been appointed as the new CEO of Anthos Fund & Asset Management, effective August 10, 2026, pending approval from the Dutch financial regulator AFM, succeeding Jacco Maters who stepped down after eight years. Wuijster brings over 30 years of asset management experience, having served as CEO of APG Asset Management for eight years where he oversaw more than 600 billion euros in assets under management. The leadership change occurs as Anthos' parent company Cofra Holding aims to double its combined assets under management across its investment vehicles to over 70 billion euros within ten years.ImpakterresponsAbility Raises $460 Million for Asia-Focused Climate FundSwiss-based responsAbility Investments AG has raised $460 million at the fifth closing of its Asia Climate Strategy fund, bringing it closer to its $500 million target. The capital will be deployed to scale low-carbon technologies in Asia, including renewables, battery storage, and e-mobility, with investors such as the International Finance Corporation and Anthos Fund & Asset Management participating. This move supports Asia's energy transition, a region accounting for over 50% of global CO2 emissions.EsgtodayresponsAbility Raises $460 Million for Asia-Focused Climate Tech FundM&G's impact investing unit responsAbility Investments has raised $460 million in commitments at the fifth closing of its Asia Climate Strategy fund, aimed at reducing CO2 emissions in Asia through investments in low-emission technologies. The strategy, launched in November 2023 with a $500 million target and a goal to achieve 16 million tons of CO2 emissions reductions, focuses on renewable energy, battery storage, e-mobility, energy efficiency, and the circular economy. The closing brought new investors including Netherlands-based Anthos Fund & Asset Management and U.S.-based Calvert Impact Capital, alongside an increased commitment from the International Finance Corporation.