RAM Active Investments S.A.
RAM Active Investments S.A. is a Geneva-based systematic asset manager that uses a proprietary Deep Learning platform to manage UCITS funds across Systematic Equity, Alternative, Credit, and Multi-Asset strategies for institutional and professional investors in 14 European countries.
- Company typePrivate
- Founded2007
- HeadquartersGeneva, Switzerland
- Headcount11–50
- GTM typeB2B
- OfferingServices
What RAM Active Investments S.A. does
RAM Active Investments S.A. is a Geneva-based systematic asset manager founded in 2007 and regulated by FINMA since 2008. The firm manages UCITS funds across four strategy families: Systematic Equities (Emerging Markets, European, Global Equity Income, Global Equity Low Carbon), Alternatives (European and Global Market Neutral Equity), Fixed Income (Global Bond Total Return), Credit (Strata Credit Fund, High Income Credit 2030), and Multi-Asset (Global Multi-Asset, Flexible Fund, NextGen TMF 2028), plus a multi-strategy Hyperfold platform. Funds are registered for sale in 14 European countries and distributed through Mediobanca Management Company S.A. following the firm's March 2018 affiliation with the Mediobanca group, while RAM AI itself remains operationally independent.
The investment process is powered by a proprietary Deep Learning platform developed over more than a decade, integrating 500+ alpha inputs and processing 10M+ data points daily across 41 stock exchanges. Technology milestones include first Machine Learning deployment in production (2017), Deep Learning pipeline industrialisation (2019), an AI-Based Trade Optimizer (2020), full deployment of Short-Term Engines (2021), and fine-tuned Large Language Models for newsflow analysis (2022). The firm also developed ClimateControversyBERT for real-time climate controversy detection and operates an Innosuisse-funded research project on AI for sustainable investments.
RAM AI serves institutional and professional investors — pension funds, insurance companies, consultants, discretionary wealth managers, and banks — via a dedicated regional sales team covering Germany/Austria/Benelux, France/Switzerland, Italy, and Switzerland. The firm has approximately 30+ employees across investment, risk, compliance, technology, and distribution functions. Revenue is generated through management fees and performance fees on the UCITS fund range; pricing is disclosed only in fund prospectuses and KIIDs and is not publicly itemised. The company is led by CEO Frank Goasguen (appointed February 2023) and CIO Emmanuel Hauptmann, who co-founded the firm in 2007.
RAM Active Investments S.A. firmographics
Firmographics- Name
- RAM Active Investments S.A.
- Legal name
- RAM Active Investments S.A.
- Website
- https://ram-ai.com
- Company type
- Private
- Founded year
- 2007
- Operating status
- Operating
- Headcount range
- 11–50 employees
- Short description
- RAM Active Investments S.A. is a Geneva-based systematic asset manager that uses a proprietary Deep Learning platform to manage UCITS funds across Systematic Equity, Alternative, Credit, and Multi-Asset strategies for institutional and professional investors in 14 European countries.
- Ownership category
- akta.pro rank
RAM Active Investments S.A. industry classification
Industry- Product category
- Asset Management
- NAICS
- Portfolio Management and Investment Advice (523940), Open-End Investment Funds (525910), Other Financial Investment Activities (5239)
- SIC
- Investment Advice (6282)
- akta.pro primary industry
- Quantitative/Systematic Equity (Active) (FSAAAIAL)
Keywords
Where RAM Active Investments S.A. is headquartered
LocationHeadquarters
- HQ city
- Geneva
- HQ country
- Switzerland
- HQ region
- Europe
Offices3 records
Markets served
RAM Active Investments S.A. business model
Business model- GTM type
- B2B
- Offering type
- Services
- Cost components
- Personnel, Technology or R&D, Operations, Marketing or Sales
Revenue model
- Investment Fund Management: RAM AI manages Systematic Equity, Alternative and Credit strategies through UCITS funds. Revenue is generated through management fees and potentially performance fees on funds managed.
Go-to-market motion2 records
Distribution channels6 records
Marketing channels4 records
RAM Active Investments S.A. product offering
Product offeringCore offering
RAM Active Investments is a Geneva-based systematic, AI-driven asset manager that designs and manages UCITS investment funds across systematic equities, alternatives, credit, and multi-asset strategies. Its investment process is powered by a proprietary Deep Learning platform integrating over 500 alpha inputs to predict stock return trends for institutional and professional investors.
Product overview
RAM Active Investments offers a comprehensive suite of systematic and alternative investment strategies managed through an AI-powered technology platform. The product portfolio spans three core categories: Systematic Equities (Emerging Markets, European, Global Equity Income, Global Equity Low Carbon), Alternatives (European and Global Market Neutral Equity), and Fixed Income/Multi-Asset (Global Bond Total Return, Strata Credit Fund, High Income Credit 2030, Global Multi-Asset, Flexible Fund, NextGen TMF 2028). An additional multi-strategy offering, the Hyperfold Strategy, combines volatility arbitrage, statistical arbitrage, and systematic equity approaches. All strategies are underpinned by RAM AI's Deep Learning infrastructure integrating over 500 alpha inputs to predict stock return trends. The firm operates as an affiliate of Mediobanca, managing assets across Systematic Equity, Alternative, and Credit strategies since its founding in 2007.
Differentiator
Problem solved
Functional benefit
Products and services
- Emerging Markets Equities Long-only systematic equity strategy investing across emerging markets using a disciplined, data-driven bottom-up approach with broad country, sector, and style diversification. For institutional and professional investors.
- European Equities Long-only systematic equity strategy focused on European markets, utilizing AI-driven stock selection and risk management.
- Global Equity Income Equity income strategy (formerly Global Sustainable Income Equities) combining sustainable investing with income generation through systematic stock selection.
- Global Equity Low Carbon Systematic equity strategy targeting reduced carbon footprint while maintaining return objectives, integrating climate data into quantitative investing.
- European Market Neutral Equity Market-neutral alternative equity strategy providing long/short exposure in European equities with controlled market exposure.
- Global Market Neutral Equity Long/short global equity strategy designed to generate absolute returns independent of market direction through systematic stock selection.
- Global Bond Total Return Fund Flexible bond strategy aiming for total return through fixed income investments across global markets.
- Strata Credit Fund Unconstrained, high-conviction credit strategy investing across the full credit spectrum with dynamic allocation between investment-grade and high-yield exposure.
- High Income Credit 2030 Target-maturity credit strategy focused on delivering high income through 2030, investing across the credit spectrum.
- Global Multi-Asset Traditional multi-asset strategy combining equities, fixed income, and alternatives with strategic and tactical asset allocation.
- Flexible Fund Flexible multi-asset strategy with broad discretion to allocate across asset classes based on market conditions.
- NextGen TMF 2028 Target-maturity multi-asset strategy targeting 2028, offering diversified exposure across asset classes.
- Hyperfold Strategy Multi-strategy platform combining complementary approaches including volatility arbitrage, statistical arbitrage, and systematic fundamental equity for uncorrelated returns.
Quantifiable outcome
- Research has evidenced that market-cap based benchmarks can be sub-optimal allocations of capital over the long run
Companies that use RAM Active Investments S.A.
Customer profileSegments5 records
Ideal customer profiles2 records
RAM Active Investments S.A. technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
AI capability6 records
Feature6 records
RAM Active Investments S.A. partnerships and signals
Strategic signalScale indicators8 records
Recent moves7 records
Expansion highlights6 records
RAM Active Investments S.A. competitors and assessment
Company assessmentDirect peers
- Winton Group: London-based systematic/quant manager known for trend-following and statistical arbitrage strategies. Closely comparable in terms of systematic investment process, alternatives focus, and use of proprietary technology for signal generation.
- Aspect Capital: London-based systematic trend-following and multi-strategy manager serving institutional clients. Similar in offering systematic, model-driven strategies with institutional UCITS fund wrappers and European distribution.
- Unigestion: Geneva-based systematic and quantitative asset manager with cross-asset capabilities spanning equities, alternatives, and multi-asset. Comparable mid-sized Swiss boutique profile with strong institutional client base and similar European distribution footprint.
- Man Group: London-listed systematic/quant manager (AHL, Numeric, FRM) running systematic equity, alternatives, and multi-strategy products. Comparable systematic investment philosophy and institutional UCITS fund structure, though at significantly larger scale.
- Capital Fund Management (CFM): Paris-based quantitative asset manager applying systematic strategies across global equities, commodities, and fixed income. Highly comparable scientific/quant investment approach and institutional UCITS fund range.
Broad incumbents
- SYZ Asset Management: Geneva-headquartered private banking and asset management group running systematic and discretionary strategies. Comparable Swiss institutional client base and active/s systematic product mix, though a much broader platform.
- Pictet Asset Management: Geneva-headquartered asset management arm of Pictet Group offering thematic, systematic, and active strategies across asset classes. Comparable Swiss heritage and institutional client focus; much larger scale and broader product set.
- GAM Investments: Swiss-listed asset manager offering systematic, active fixed income, equity, and alternatives strategies. Overlapping product set and Swiss heritage; broader and more diversified than RAM AI, with much larger headcount and AUM.
- Vontobel Asset Management: Zurich-based publicly listed asset manager offering active equities, fixed income, and multi-asset strategies. Comparable Swiss institutional presence and UCITS product range, though significantly larger and more diversified.
- Candriam: Belgium-based asset manager (formerly Dexia Asset Management) with a strong institutional European franchise and broad active/sustainable product range. Comparable in serving European pension funds and consultants with active strategies, though at a much larger scale.
Market position
Strengths5 records
Weaknesses5 records
Competitive moat5 records
Key risks5 records
Key highlights6 records
Customer concentration
RAM Active Investments S.A. social profiles
Digital presenceRAM Active Investments S.A. financial estimates
Financial estimateRevenue estimate
Valuation estimate
RAM Active Investments S.A. leadership team
Management profileNumber of profiles
Profiles16 records
RAM Active Investments S.A. funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
RAM Active Investments S.A. M&A and investment
M&A and investmentM&A
Investments
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about RAM Active Investments S.A.
What does RAM Active Investments S.A. do?
RAM Active Investments is a Geneva-based systematic, AI-driven asset manager that designs and manages UCITS investment funds across systematic equities, alternatives, credit, and multi-asset strategies. Its investment process is powered by a proprietary Deep Learning platform integrating over 500 alpha inputs to predict stock return trends for institutional and professional investors.
Is RAM Active Investments S.A. a public or private company?
RAM Active Investments S.A. is a private company. It is classified as corporate owned and is currently operating.
When was RAM Active Investments S.A. founded?
RAM Active Investments S.A. was founded in 2007. It employs 11 to 50 people.
Where is RAM Active Investments S.A. based?
RAM Active Investments S.A. is headquartered in Geneva, Switzerland, in the Europe region.
How does RAM Active Investments S.A. make money?
One revenue line is on record: investment Fund Management.
Who are RAM Active Investments S.A.'s main competitors?
Direct peers on record are Winton Group, Aspect Capital, Unigestion, Man Group and Capital Fund Management (CFM). Broad incumbents are SYZ Asset Management, Pictet Asset Management, GAM Investments, Vontobel Asset Management and Candriam.
Does RAM Active Investments S.A. have an API?
No public API is recorded for RAM Active Investments S.A..
What industry is RAM Active Investments S.A. in?
RAM Active Investments S.A.'s product category is Asset Management. Its primary akta.pro industry code is FSAAAIAL, Quantitative/Systematic Equity (Active). Its NAICS code is 523940 and its SIC code is 6282.