Sycomore Asset Management
Sycomore Asset Management is a Paris-based, majority Generali-owned asset manager (founded 2001) that runs sustainable equity, multi-themed, and credit strategies for European institutional investors and IFAs, managing over €10 billion across SFDR Article 9 and labeled SRI funds.
- Company typePrivate
- Founded2001
- HeadquartersParis, France
- Headcount51–100
- GTM typeB2B
- OfferingServices
What Sycomore Asset Management does
Sycomore Asset Management is a Paris-based asset management firm founded in 2001 and majority-owned by Generali since 2023. The firm manages listed equity and fixed income portfolios for institutional investors and independent financial advisors across Europe, with assets under management exceeding €10 billion as of the start of Q2 2026 (up from €7.6 billion at end-2024 and €9.1 billion at end-2025). Its product set is organized around four strategies — Thematic, Multi-themed, Flexible, and Credit — and includes flagship SFDR Article 9 funds such as SFS Sycomore Sustainable Tech, SFS Sycomore Europe Eco Solutions, SFS Sycomore Europe Happy @ Work, Sycomore Sélection Responsable, and the maturity-dated carry fund Sycoyield 2032.
Sycomore's investment process rests on a proprietary fundamental analysis model combined with differentiated ESG frameworks: the Net Environmental Contribution (NEC) metric, a Human Capital Assessment Framework, and a three-dimensional SRI process for technology equities (Tech for Good, Good in Tech, Improvement Enablers). The firm carries AMF authorization n°01-30 and operates UCITS structures in France and Luxembourg, with multiple SRI labels (ISR, Greenfin, Towards Sustainability) supporting institutional and IFA distribution. Distribution runs through direct institutional sales, IFA/advisory channels, and the Generali platform — the latter formalized in a 2026 partnership under which Sycomore contributes active equity and fixed income strategies to Generali Investments' European active ETF range via a dedicated Irish ICAV.
The revenue model is fee-based, combining fixed management fees (typically ~1% for institutional share classes) with performance fees (typically 15% above benchmark). The firm employs 51–100 people across portfolio management, ESG research, and distribution roles, led by CEO Denis Panel (appointed 2023) and CIO Pierre-Alexis Dumont, with a bench of sector-dedicated portfolio managers and sustainability analysts. Sycomore AM operates as one of four Generali Investments platform affiliates alongside Generali Asset Management, Global Evolution, and Plenisfer.
Sycomore Asset Management firmographics
Firmographics- Name
- Sycomore Asset Management
- Legal name
- Sycomore Asset Management
- Website
- https://en.sycomore-am.com
- Company type
- Private
- Founded year
- 2001
- Operating status
- Operating
- Headcount range
- 51–100 employees
- Short description
- Sycomore Asset Management is a Paris-based, majority Generali-owned asset manager (founded 2001) that runs sustainable equity, multi-themed, and credit strategies for European institutional investors and IFAs, managing over €10 billion across SFDR Article 9 and labeled SRI funds.
- Ownership category
- akta.pro rank
Sycomore Asset Management industry classification
Industry- Product category
- Sustainable Asset Management
- NAICS
- Portfolio Management and Investment Advice (523940)
- SIC
- Finance Services (6199)
- akta.pro primary industry
- Institutional Consultants & Fiduciary Management (Investment Consulting) (FSAAAGAJ)
Keywords
Where Sycomore Asset Management is headquartered
LocationHeadquarters
- HQ city
- Paris
- HQ country
- France
- HQ region
- Europe
Offices1 record
Markets served
Sycomore 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
- Asset Management Fees: Sycomore AM generates revenue through management fees and performance fees on assets under management. The firm exceeded €10 billion AUM at Q2 2026, having grown from €7.6 billion at end-2024 to €9.1 billion at end-2025. Fund fee structures include fixed management fees (typically around 1%) and performance fees (typically 15% above benchmark).
Pricing tiers
| Model | Billing | Price |
|---|---|---|
| Subscription | Annual | IC share class - Institutional investors |
| Subscription | Annual | I share class - Institutional |
| Subscription | Annual | Multiple share classes (I, RP, R, ID, A, R USD H, ID2) |
Go-to-market motion1 record
Distribution channels3 records
Marketing channels4 records
Sycomore Asset Management product offering
Product offeringCore offering
Sycomore Asset Management is a French asset manager that designs and manages pooled investment funds for institutional investors and independent financial advisors. Its offerings are organised around four strategies — Thematic, Multi-themed, Flexible, and Credit — covering listed equities and corporate bonds with a systematic ESG/extra-financial overlay, including proprietary frameworks such as the Net Environmental Contribution (NEC) metric and a human capital assessment model. As of Q2 2026, the firm manages more than €10 billion in assets under management.
Product overview
Sycomore Asset Management is a specialized asset manager founded in 2001, focusing on listed companies and identifying their long-term growth drivers through a proprietary fundamental analysis model combined with ESG research. The company offers a diversified range of investment strategies structured around four pillars: Thematic (environmental and social solutions), Multi-themed (conviction-driven multi-theme), Flexible (corporate bonds across credit spectrum), and Credit (real economy bond investments). The product suite includes distinct funds such as SFS Sycomore Sustainable Tech (global tech equities, SFDR Article 9), SFS Sycomore Europe Eco Solutions (European environmental transition), Sycomore Sélection Responsable (conviction-based European equities), SFS Sycomore Europe Happy @ Work (human capital-focused EU equities), and Sycoyield 2032 (fixed-term bond fund). All offerings integrate the company's responsible investor approach with proprietary ESG analysis frameworks.
Differentiator
Problem solved
Functional benefit
Products and services
- SFS Sycomore Sustainable Tech A global equity fund investing in responsible technology companies, employing an innovative SRI process focused on Tech for Good, Good in Tech, and Improvement Enablers. SFDR Article 9 fund with 100% sustainable investment exposure, for institutional investors and IFAs seeking a thematic responsible technology allocation.
- SFS Sycomore Europe Eco Solutions A European equity fund investing in companies supporting the environmental transition across renewable energy, energy efficiency, electrification, mobility, natural resources, renovation and construction, circular economy, food, and ecosystem services. Uses the proprietary Net Environmental Contribution (NEC) metric, for institutional and IFA clients seeking environmental solutions exposure.
- Sycomore Sélection Responsable A conviction-based European equity fund aiming to deliver long-term returns exceeding the Euro Stoxx TR index by selecting quality companies that create sustainable value for all stakeholders, for institutional and IFA investors seeking a multi-themed responsible equity core holding.
- SFS Sycomore Europe Happy @ Work An EU-focused equity fund investing in companies that pay particular attention to human capital as a key performance driver, seeking to contribute positively to UN Sustainable Development Goals related to employee fulfillment and engagement, for institutional and IFA investors seeking a human-capital thematic exposure.
- Sycoyield 2032 A fixed-term bond fund seeking yield opportunities in euro-denominated bonds (including convertibles and hybrids) with maturities mainly in 2032, intended to be held until maturity. A carry strategy targeting annualised performance aligned with private issuer bond markets, for investors seeking a defined-maturity credit solution.
Quantifiable outcome
- AUM growth from €7.6B (end-2024) to €10B+ (Q2 2026), representing 32% increase in approximately 18 months.
- +3 more outcomes
Companies that use Sycomore Asset Management
Customer profileSegments2 records
Ideal customer profiles2 records
Sycomore Asset Management technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
Feature3 records
Sycomore Asset Management partnerships and signals
Strategic signalPartnerships
One partnership is on record.
- Generali InvestmentscoreSycomore AM is one of four platform affiliates (alongside Generali Asset Management, Global Evolution, and Plenisfer) selected to manage active ETF strategies for Generali Investments' European launch. Sycomore will contribute active equity and fixed income strategies to the new active ETF product range using a dedicated Irish ICAV structure.
Scale indicators3 records
Recent moves6 records
Expansion highlights6 records
Sycomore Asset Management competitors and assessment
Company assessmentDirect peers
- Mirova: Mirova is the Paris-based affiliate of Natixis Investment Managers and a leading European sustainable investment specialist managing listed equity, fixed income, and infrastructure strategies with a proprietary ESG methodology. Directly comparable to Sycomore AM given French origin, institutional focus, and SRI/impact investment orientation.
- CPR Asset Management: CPR Asset Management is a Paris-based asset manager (Amundi group) specializing in thematic equities, credit, and multi-asset solutions with strong institutional and IFA distribution in France and Europe. Closely comparable to Sycomore AM in product mix and European distribution profile.
- Ostrum Asset Management: Ostrum Asset Management is a Paris-based affiliate of Natixis Investment Managers managing fixed income, credit, and insurance-mandate assets with significant European institutional reach. Comparable to Sycomore AM for credit strategy overlap and European institutional distribution.
- Ecofi Investissements: Ecofi is a French SRI specialist asset manager (Crédit Mutuel group) focused on responsible investment and ESG-screened European equities, with SRI-labeled funds and a long-standing French institutional and retail presence. Strongly comparable to Sycomore AM as a French SRI-focused peer.
- Candriam: Candriam is a Belgian/European asset manager (New York Life Investment Management affiliate) widely recognized as one of Europe's leading SRI specialists with thematic, ESG, and credit strategies. Comparable to Sycomore AM for its ESG-driven, conviction-based philosophy and European institutional positioning.
- Robeco: Robeco is a Dutch-based global asset manager (OHV group affiliate) with a renowned sustainable investing franchise, including quantified ESG integration, thematic sustainability strategies, and credit. Comparable to Sycomore AM in its ESG/sustainability DNA and European institutional focus.
Emerging players
- Triodos Investment Management: Triodos Investment Management is the Dutch-based sustainable investment arm of Triodos Bank, focused on listed equities and impact investing through SRI-themed strategies. Comparable to Sycomore AM as a European sustainable/specialist competitor, though smaller and more narrowly impact-focused.
Regional players
- Ofi Invest Asset Management: Ofi Invest is a French asset manager (subsidiary of MACIF and other mutual insurers) offering equities, credit, and SRI-labeled funds with strong IFA distribution in France. Comparable to Sycomore AM for French institutional and IFA-led SRI distribution, though primarily France-focused.
Broad incumbents
- Amundi: Amundi is Europe's largest asset manager with an extensive responsible investment offering across equities, ETFs, fixed income, and multi-asset. Comparable to Sycomore AM as the dominant European institutional/retail asset manager with a major ESG franchise, although materially larger and broader in scope.
- AXA Investment Managers: AXA Investment Managers is one of Europe's largest asset managers (now majority owned by BNP Paribas) with broad fixed income, equity, real assets, and ESG capabilities. Comparable to Sycomore AM as a European incumbent with substantial institutional mandates and ESG product range, although much larger and broader.
Market position
Strengths5 records
Weaknesses5 records
Competitive moat4 records
Key risks6 records
Key highlights7 records
Customer concentration
Sycomore Asset Management social profiles
Digital presenceSycomore Asset Management financial estimates
Financial estimateRevenue estimate
Valuation estimate
Sycomore Asset Management leadership team
Management profileNumber of profiles
Profiles13 records
Sycomore Asset Management funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
Sycomore Asset Management M&A and investment
M&A and investmentM&A
Investments1 record
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about Sycomore Asset Management
What does Sycomore Asset Management do?
Sycomore Asset Management is a French asset manager that designs and manages pooled investment funds for institutional investors and independent financial advisors. Its offerings are organised around four strategies — Thematic, Multi-themed, Flexible, and Credit — covering listed equities and corporate bonds with a systematic ESG/extra-financial overlay, including proprietary frameworks such as the Net Environmental Contribution (NEC) metric and a human capital assessment model. As of Q2 2026, the firm manages more than €10 billion in assets under management.
Is Sycomore Asset Management a public or private company?
Sycomore Asset Management is a private company. It is classified as corporate owned and is currently operating.
When was Sycomore Asset Management founded?
Sycomore Asset Management was founded in 2001. It employs 51 to 100 people.
Where is Sycomore Asset Management based?
Sycomore Asset Management is headquartered in Paris, France, in the Europe region.
How does Sycomore Asset Management make money?
One revenue line is on record: asset Management Fees.
Who are Sycomore Asset Management's main competitors?
Direct peers on record are Mirova, CPR Asset Management, Ostrum Asset Management, Ecofi Investissements, Candriam and Robeco. Triodos Investment Management is listed as an emerging player. Ofi Invest Asset Management is listed as a regional player. Broad incumbents are Amundi and AXA Investment Managers.
Does Sycomore Asset Management have an API?
No public API is recorded for Sycomore Asset Management.
What industry is Sycomore Asset Management in?
Sycomore Asset Management's product category is Sustainable Asset Management. Its primary akta.pro industry code is FSAAAGAJ, Institutional Consultants & Fiduciary Management (Investment Consulting). Its NAICS code is 523940 and its SIC code is 6199.