ACATIS
ACATIS Investment is a German independent fund boutique founded in 1994 that applies value investing principles augmented by proprietary AI. It serves institutional, wholesale, and retail investors across ten European countries with equity, balanced, bond, ETF, and sustainable Article 8/9 funds.
- Company typePrivate
- Founded1994
- HeadquartersFrankfort, United States
- Headcount11–50
- GTM typeB2B
- OfferingServices
What ACATIS does
ACATIS Investment Kapitalverwaltungsgesellschaft mbH is an independent German fund boutique founded in 1994 in Frankfurt am Main by Dr. Hendrik Leber and Dr. Claudia Giani-Leber, originally under the name ACATO. The firm manages investment funds following value investing principles derived from Benjamin Graham, Warren Buffett, and Charlie Munger, and operates as a regulated Kapitalverwaltungsgesellschaft under BaFin authorization received in November 2017. Its product range spans international and regional equity funds, balanced strategies, and bond funds, including a flagship ACATIS Aktien Global Fonds managed continuously since 1997, three AI-powered equity funds (ACATIS AI Global Equities, ACATIS AI US Equities, ACATIS Global Value Total Return), and multiple Article 8 and Article 9 sustainable funds under the ACATIS Fair Value brand. In 2025 ACATIS launched its first ETF, the ACATIS Altersvorsorgedepot UCITS ETF, expanding beyond traditional mutual funds.
ACATIS has invested in proprietary artificial intelligence since 2014, deploying Deep Learning models trained on a proprietary company database covering 50,000 companies with over 1,000 factors dating back to 1986. In 2025 the firm acquired Swiss AI company NNAISENSE, gaining exclusive access to the Large Investment Model (LIM), which generates thousands of plausible market scenarios and is now used both in AI mutual funds and the firm's ETF. Technology infrastructure is maintained through wholly-owned subsidiary ACATIS Research GmbH in Bochum, which develops the firm's stock analysis, order management, allocation, and fund selection software, while ACATIS Service GmbH (Switzerland) acts as a FINMA-authorized distribution entity.
ACATIS generates revenue primarily through management fees and, where applicable, performance fees on assets across its equity, balanced, and bond fund range. Its distribution model combines a regionally-organized sales force (DACH, France/Benelux, Iberia/Italy/UK, Netherlands/Belgium/Denmark), direct website sales to retail, a FINMA-authorized Swiss subsidiary, and third-party platform listings across ten European countries. The customer base spans institutional investors (pension funds, insurance companies, family offices), wholesale partners (financial advisors, banks), and retail/semi-professional investors. ACATIS is owner-managed with no external parent or institutional investor backing. As of July 2026, Thorsten Schrieber joined as Speaker of the Management Board (CEO) while founders Dr. Hendrik Leber and Dr. Claudia Giani-Leber remain on the management board.
ACATIS firmographics
Firmographics- Name
- ACATIS
- Legal name
- ACATIS Investment Kapitalverwaltungsgesellschaft mbH
- Website
- https://acatis.de
- Company type
- Private
- Founded year
- 1994
- Operating status
- Operating
- Headcount range
- 11–50 employees
- Short description
- ACATIS Investment is a German independent fund boutique founded in 1994 that applies value investing principles augmented by proprietary AI. It serves institutional, wholesale, and retail investors across ten European countries with equity, balanced, bond, ETF, and sustainable Article 8/9 funds.
- Ownership category
- akta.pro rank
ACATIS industry classification
Industry- Product category
- Active Asset Management (Value Investing Funds)
- NAICS
- Portfolio Management and Investment Advice (523940), Open-End Investment Funds (52591), Other Financial Investment Activities (5239)
- SIC
- Investment Advice (6282)
- akta.pro primary industry
- Large-Cap Equity (Active) (FSAAAIAA)
- akta.pro secondary industries
- International/Ex-U.S. Developed Equity (Active) (FSAAAIAE), Emerging Markets Equity (Active) (FSAAAIAF), Multi-Sector / Total Return Fixed Income (FSAAAHAJ)
Keywords
Where ACATIS is headquartered
LocationHeadquarters
- HQ city
- Frankfort
- HQ country
- United States
- HQ region
- North America
Offices3 records
Markets served
ACATIS business model
Business model- GTM type
- B2B
- Offering type
- Services
- Cost components
- Personnel, Technology or R&D, Marketing or Sales, Operations, Infrastructure, Supply Chain
Revenue model
- Investment Fund Management Fees: ACATIS generates revenue primarily through management fees charged on investment funds under management. The company manages mutual funds across equity, balanced, and bond categories, with fees varying by fund.
- Performance Fees: Some ACATIS funds may charge performance fees based on returns exceeding benchmarks. The most important financial performance indicator is net margin on inventory-dependent income excluding performance-fee remuneration.
Pricing tiers
| Model | Billing | Price |
|---|---|---|
| Subscription | Annual | Standard mutual fund fee structure varies by fund |
Go-to-market motion1 record
Distribution channels4 records
Marketing channels7 records
ACATIS product offering
Product offeringCore offering
ACATIS Investment is an independent German fund boutique that manages and distributes a portfolio of active mutual funds and one UCITS ETF across equity, balanced, and bond categories, applying value investing principles (Graham, Buffett, Munger) increasingly augmented by proprietary Deep Learning models and the NNAISENSE Large Investment Model (LIM). The firm sells its funds to institutional investors, wholesale partners (banks, advisors), and retail/semi-professional investors across multiple European countries.
Product overview
ACATIS is an independent German fund boutique specializing in value investing since 1994, offering a comprehensive portfolio of investment funds across equity, balanced, and bond categories. The firm operates as a platform with three dedicated AI-focused funds (ACATIS AI Global Equities, ACATIS AI US Equities, ACATIS Global Value Total Return) that leverage proprietary Deep Learning models for stock selection, alongside traditional value funds like the flagship ACATIS Aktien Global Fonds. Sustainability is integrated through Article 8 and Article 9 compliant funds under the ACATIS Fair Value brand. In 2025, ACATIS acquired Swiss AI company NNAISENSE to enhance its capabilities with the Large Investment Model (LIM), powering its first ETF (ACATIS Altersvorsorgedepot UCITS ETF). The firm's AI initiatives are supported by subsidiary ACATIS Research GmbH and promoted through the acatis.ai sub-brand.
Differentiator
Problem solved
Functional benefit
Brands
- acatis.ai: A dedicated website that builds a bridge between proven value investing and artificial intelligence, exploring how cutting-edge AI tools can enhance the principles of value investing to uncover long-term opportunities.
Products and services
- ACATIS AI Global Equities Global equity fund combining value investing and artificial intelligence, where AI takes over the analytical work of a value investor for all companies and industries worldwide using annual reports and management discussions.
- ACATIS AI US Equities US equities fund investing in top 100 companies based on fundamentals, using in-house AI models to outperform the benchmark, excluding real estate and financial sectors.
- ACATIS Global Value Total Return Global equity fund with active allocation using overlay management, where AI pre-selects companies before classic value filters are applied.
- ACATIS Aktien Global Fonds International equity fund investing according to long-term value principles using fundamental bottom-up analysis with classical shareholder value aspects; ACATIS flagship fund launched May 1997.
- ACATIS Fair Value SDG Better World Fund International sustainable equity fund under Article 9 of EU Disclosure Regulation, combining value investing with ethical and sustainability criteria aligned with UN Sustainable Development Goals.
- ACATIS Small Diamonds Global equity fund focusing on small and mid caps outside major indices, selecting attractively valued companies with proven long-term business models using value investing principles.
- ACATIS Value und Dividende Global equity fund emphasizing strong dividends with minimum 2% p.a., investing in companies with high entrepreneurial value creation and consistent dividend policy.
- ACATIS Asia Pacific Plus Fonds Asia (including Australia/New Zealand, ex-China) equity fund following value investing principles with quantitative and qualitative analysis reinforced by local partner research.
- ACATIS QILIN Marco Polo Asien Fonds Asia-focused equity fund with emphasis on China, including Stock Connect eligible shares and other Asian markets; managed with local research partner Qilin.
- ACATIS Datini Valueflex Fonds Global aggressive balanced fund with extremely flexible investment degree ranging from 0-100%, applying value approach across all asset classes with opportunistic strategy.
- ACATIS Fair Value Modulor Vermögensverwaltungsfonds Global sustainable balanced fund under Article 9, investing in stocks, REITs, bonds, and innovative instruments meeting strict ethical-sustainability criteria.
- ACATIS Value Event Fonds Event-driven balanced fund combining value investing with focus on companies with strong business quality to reduce fundamental risks; Article 8 compliant.
- ACATIS Value Performer Actively managed balanced fund aiming for best performance at moderate risk with defined allocation limits across equities, bonds, and hedge funds.
- ACATIS Euro High Yield High-yield bond fund denominated in euros pursuing value strategy with bottom-up approach, focusing on undervalued bonds through fundamental analysis.
- ACATIS IfK Value Renten Bond fund based on value principles identifying value bonds with particular yield advantage relative to valuation, investing in broadly diversified portfolio.
- ACATIS Altersvorsorgedepot UCITS ETF ACATIS's first ETF, utilizing the Large Investment Model (LIM) from NNAISENSE to create optimized portfolios of 50 stocks (reviewed quarterly) from a universe of 300-350 pre-screened '350 Best of ACATIS' stocks; targeted at retirement planning.
Quantifiable outcome
- Both Article 9 funds received highest FNG Seal award with three out of three stars for 2026
- +1 more outcomes
Companies that use ACATIS
Customer profileSegments3 records
Ideal customer profiles3 records
ACATIS technology and API
TechnologyTechnology focussed Yes
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
AI capability7 records
Feature3 records
ACATIS partnerships and signals
Strategic signalPartnerships
Eight partnerships are on record, tiered core and minor.
- NNAISENSEcoreSwiss AI company acquired by ACATIS in 2025 to enhance AI capabilities in financial markets. The acquisition gives ACATIS exclusive access to NNAISENSE's Large Investment Model (LIM), which predicts market scenarios across asset classes. NNAISENSE's partner Florian Trifterer presented the LIM technology at the 23rd ACATIS Value Konferenz in May 2026.
- Institutional Shareholder Services (ISS)coreISS provides analysis and voting recommendations with sustainable strategy focus. ACATIS uses ISS services since 2020 for governance analysis and shareholder voting at general meetings, with particular emphasis on good corporate governance.
- QILINminorLocal research partner for ACATIS QILIN Marco Polo Asien Fonds, providing research and knowledge support for Asian equities investment decisions.
- ACATIS Service GmbHcoreWholly-owned Swiss subsidiary of ACATIS Investment, based in Switzerland. Authorized by FINMA as distributor for institutional and retail investors. Distributes ACATIS financial products approved in Switzerland.
- ACATIS Research GmbHcoreACATIS subsidiary based in Bochum, Germany. Develops customized analysis and management software for ACATIS including stock analysis, order management, allocation model, and fund selection. Hosts all system-relevant applications for portfolio management. Managing Directors: Christoph Brand and Dr. Hendrik Leber.
- ACATIS Fair Value Investment AGcoreSwiss firm based in Walzenhausen/AR, partnered with ACATIS since 2007 to combine sustainability (Fair) and Value investing under the ACATIS Fair Value brand. Managing Director Rainer Unterstaller负责任 for title selection under rigorous sustainable and ethical criteria.
- CAP2minorIndependent consulting company that calculates CO2 emissions at company level and for investment funds as part of ACATIS's climate neutralization strategy.
- Frankfurt School of Finance & ManagementminorAcademic partner hosting the annual ACATIS Value Konferenz. Over 200 guests attended the 23rd conference in May 2026 at Frankfurt School facilities.
Scale indicators5 records
Recent moves7 records
Expansion highlights5 records
ACATIS competitors and assessment
Company assessmentDirect peers
- Shareholder Value Management: Frankfurt-based independent value-investing firm managing the Shareholder Value funds. Close peer in philosophy (classic Graham/Buffett value), boutique scale, and German distribution channel.
- Ökoworld ÖkoVision: German sustainable investment boutique with strong Article 9 ethical-screening funds. Directly comparable on the sustainability side of ACATIS's product set and on boutique scale, though more thematic on ecology.
- DJE Kapital AG: German independent value-oriented fund boutique based in Munich, comparable to ACATIS in size, philosophy (value/quality investing), and European distribution footprint. Directly overlapping as Thorsten Schrieber joins ACATIS from DJE's board.
- Carmignac: European independent fund manager combining fundamental and quantitative approaches with multi-asset and sustainability products. Similar boutique-driven, owner-managed structure with strong European brand, though larger AUM.
- Flossbach von Storch: Independent German fund boutique with a strong value-investing pedigree, multi-fund range (equity, balanced, bond), and pan-European distribution. Directly comparable as a DACH-anchored, owner-managed boutique competing for the same wholesale and retail mandates.
- Comgest: European independent asset manager focused on quality-growth and ESG-quality strategies with broad fund range. Comparable on independence, European institutional reach, and quality-driven stock selection.
- Edmond de Rothschild Asset Management: European independent asset manager with value, sustainable, and quantitative strategies across European and global equities. Comparable boutique scale, multi-strategy franchise, and ESG credentials.
Broad incumbents
- DWS Group: Germany's largest listed asset manager with active equity, multi-asset, sustainable, and ETF products. Overlaps with ACATIS across nearly every fund category and is the dominant German-platform competitor for retail and institutional wallet share.
- Allianz Global Investors: Major global asset manager with strong European retail and institutional distribution and a wide fund range including sustainability and AI-themed strategies. A broad incumbent overlapping with ACATIS on European wholesale shelf space.
- Union Investment: Large German cooperative asset manager with broad mutual fund and ETF offerings across value, balanced, and bond categories. A key distribution counterparty (Holger Siegle previously worked here) and a much larger competitor across ACATIS's fund categories.
Market position
Strengths5 records
Weaknesses5 records
Competitive moat5 records
Key risks5 records
Key highlights7 records
Customer concentration
ACATIS social profiles
Digital presenceACATIS compliance and trust
Trust signalCompliance5 records
ACATIS financial estimates
Financial estimateRevenue estimate
Valuation estimate
ACATIS leadership team
Management profileNumber of profiles
Profiles11 records
ACATIS subsidiaries and ownership
Company hierarchySubsidiaries2 records
ACATIS funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
ACATIS M&A and investment
M&A and investmentM&A1 record
Investments2 records
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about ACATIS
What does ACATIS do?
ACATIS Investment is an independent German fund boutique that manages and distributes a portfolio of active mutual funds and one UCITS ETF across equity, balanced, and bond categories, applying value investing principles (Graham, Buffett, Munger) increasingly augmented by proprietary Deep Learning models and the NNAISENSE Large Investment Model (LIM). The firm sells its funds to institutional investors, wholesale partners (banks, advisors), and retail/semi-professional investors across multiple European countries.
Is ACATIS a public or private company?
ACATIS is a private company. It is classified as founder individual operated bootstrapped and is currently operating.
When was ACATIS founded?
ACATIS was founded in 1994. It employs 11 to 50 people.
Where is ACATIS based?
ACATIS is headquartered in Frankfort, United States, in the North America region.
How does ACATIS make money?
Two revenue lines are on record. Investment Fund Management Fees are the primary driver. The others are performance Fees.
Who are ACATIS's main competitors?
Direct peers on record are Shareholder Value Management, Ökoworld ÖkoVision, DJE Kapital AG, Carmignac, Flossbach von Storch, Comgest and Edmond de Rothschild Asset Management. Broad incumbents are DWS Group, Allianz Global Investors and Union Investment.
Does ACATIS have an API?
No public API is recorded for ACATIS.
What industry is ACATIS in?
ACATIS's product category is Active Asset Management (Value Investing Funds). Its primary akta.pro industry code is FSAAAIAA, Large-Cap Equity (Active), with a secondary code of FSAAAIAE, International/Ex-U.S. Developed Equity (Active). Its NAICS code is 523940 and its SIC code is 6282.