Erasmus Gestion
Erasmus Asset Management is an independent Paris-based asset manager founded in 2013, managing ~€300M across six European equity, diversified, and ELTIF funds plus discretionary mandates, serving retail, professional, and HNW investors with fully ESG-labeled (ISR) strategies.
- Company typePrivate
- Founded2013
- HeadquartersParis, France
- Headcount11–50
- GTM typeB2B and B2C
- OfferingServices
What Erasmus Gestion does
Revenue mechanics are entirely subscription-recurring: management fees on the six OPCVM funds plus fees on discretionary Gestion Sous Mandat mandates (dedicated funds, financial engineering, PEA, comptes-titres, FID accounts). The go-to-market combines direct advisory relationships with professional investors and HNW individuals, content-driven demand generation through macro/stock commentary (Point Macro, Point sur les valeurs) and newsletters, and institutional distribution via the UMR/UNEP partnership for the Gestion Pilotée UMR Prudent profile on the PER contract. In 2024 the founders transferred ownership to the firm's 10 employee-shareholders, supported by economist Emmanuel Pateyron as Chairman of the Supervisory Board, and in August 2025 the company rebranded from Erasmus Gestion to Erasmus Asset Management to project a broader institutional identity. The firm is led by Aymeric Lang (Gérant – Président du Directoire) with a compact team covering portfolio management, commercial, partnerships, and middle office functions.
Erasmus Gestion firmographics
Firmographics- Name
- Erasmus Gestion
- Legal name
- Erasmus Gestion
- Website
- https://erasmusgestion.com
- Company type
- Private
- Founded year
- 2013
- Operating status
- Operating
- Headcount range
- 11–50 employees
- Short description
- Erasmus Asset Management is an independent Paris-based asset manager founded in 2013, managing ~€300M across six European equity, diversified, and ELTIF funds plus discretionary mandates, serving retail, professional, and HNW investors with fully ESG-labeled (ISR) strategies.
- Ownership category
- akta.pro rank
Erasmus Gestion industry classification
Industry- Product category
- Asset Management
- NAICS
- Portfolio Management and Investment Advice (523940), Open-End Investment Funds (525910)
- SIC
- Investment Advice (6282)
- akta.pro primary industry
- ESG Integration / Responsible Investment Funds (Broad ESG) (FSANAJAL)
- akta.pro secondary industry
- Institutional Consulting RIAs (OCIO/Endowments/Foundations/Pensions) (FSAAACAG)
Keywords
Where Erasmus Gestion is headquartered
LocationHeadquarters
- HQ city
- Paris
- HQ country
- France
- HQ region
- Europe
Offices1 record
Markets served
Erasmus Gestion business model
Business model- GTM type
- B2B and B2C
- Offering type
- Services
- Cost components
- Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure, Supply Chain
Revenue model
- Management fees on OPCVM funds: Erasmus AM earns management fees on its six funds: EDL 2030 Fonds Fermé ELTIF, Erasmus Small Cap Europe, Erasmus Mid Cap Europe, FCP Mon PEA, Erasmus Capital Plus, and G Patrimoine. Fees are calculated as a percentage of assets under management (AUM of ~300M€).
- Discretionary portfolio management mandates: The company offers Gestion Sous Mandat (discretionary management) including dedicated funds (fonds dédiés), financial engineering, and management of PEA, comptes-titres, and FID accounts, generating fee income from mandate management.
Go-to-market motion3 records
Distribution channels2 records
Marketing channels4 records
Erasmus Gestion product offering
Product offeringCore offering
Erasmus AM is an independent French asset management company managing approximately €300M across six investment funds focused on European Small and Mid Cap equities (Erasmus Small Cap Europe, Erasmus Mid Cap Europe, FCP Mon PEA, Erasmus Capital Plus, G Patrimoine, and the EDL 2030 closed-ended ELTIF). The firm supplements its fund range with discretionary portfolio management services (Gestion Sous Mandat), covering dedicated funds, financial engineering, and PEA/comptes-titres/FID mandates for professional and individual clients. All equity funds hold the French Label ISR and follow a fully integrated ESG approach built on MSCI methodology.
Product overview
Erasmus Gestion (operating as Erasmus Asset Management) is an independent French asset management company offering a portfolio of 6 investment funds targeting European small and mid-cap equities, diversified global allocation, and private equity-style investments. The core fund lineup includes: Erasmus Small Cap Europe (small cap quality), Erasmus Mid Cap Europe (mid cap Article 9 SFDR), FCP Mon PEA (French large cap), Erasmus Capital Plus (diversified), G Patrimoine (balanced allocation), and EDL 2030 (closed-ended ELTIF). The company supplements its fund offerings with discretionary portfolio management services (Gestion Sous Mandat) covering dedicated funds, financial engineering, and PEA management, as well as managed profile services through UMR partnerships. All equity funds hold the ISR (Socially Responsible Investment) label and follow ESG principles based on MSCI methodology.
Differentiator
Problem solved
Functional benefit
Products and services
- EDL 2030 Fonds Fermé ELTIF Closed-ended ELTIF offering private equity style investment with transparency. Targets investors seeking long-term European private equity-style exposure.
- Erasmus Small Cap Europe European small capitalization equity fund with a quality investment focus and the French ISR (Socially Responsible Investment) label, for investors seeking exposure to quality European small caps.
- Erasmus Mid Cap Europe European mid cap equity fund classified as Article 9 under SFDR, focused on quality companies with a sustainable investment approach and the French ISR label.
- FCP Mon PEA Large cap French equity fund investing primarily in PEA-eligible French equities, with the French ISR label, for investors seeking French large cap exposure through a PEA wrapper.
- Erasmus Capital Plus Diversified global allocation fund classified as Article 8 under SFDR, offering a mixed asset allocation strategy for investors seeking diversified global exposure.
- G Patrimoine Dedicated diversified allocation fund with SRI level 3 classification, for investors seeking a balanced portfolio with responsible investment characteristics.
- Gestion Sous Mandat (Discretionary Portfolio Management) Discretionary portfolio management service for professional and high-net-worth clients, covering dedicated funds, financial engineering, and management of PEA, comptes-titres ordinaires, and FID accounts.
- Gestion Pilotée UMR Prudent Discretionary prudent-profile management service for individual retirement savers, offered through the UMR/UNEP PER partnership contract and managed by Erasmus AM.
Companies that use Erasmus Gestion
Customer profileSegments2 records
Ideal customer profiles2 records
Erasmus Gestion technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
Feature1 record
Erasmus Gestion partnerships and signals
Strategic signalPartnerships
Four partnerships are on record, tiered core and minor.
- UMR (Union Mutuelles Retraite)coreErasmus AM serves as the investment manager for the 'Gestion Pilotee UMR Prudent' profile, distributed by UMR through the UNEP PER (Plan d'Épargne Retraite) contract. This partnership provides Erasmus AM with access to UMR's member base of individual retirement investors. Reporting documents are shared via dedicated download links between the two organizations.
- UNEPcoreUNEP (Union Nationale des Entreprises de Proximité) distributes Erasmus AM's 'Gestion Pilotee UMR Prudent' through its PER (Pension d'Épargne Retraite) contract, providing a platform for individual investors to access Erasmus AM's managed profiles.
- MSCIcoreMSCI provides ESG rating methodology and coverage for Erasmus AM's investment universe. Approximately 80% of the investment universe is covered externally by MSCI, with the remaining ~150 issuers analyzed internally using the same MSCI methodology. MSCI ESG Manager logo is displayed on the Erasmus AM responsible investment page.
- BNP Paribas Securities ServicesminorBNP Paribas Securities Services served as the depositary and responsible for the accounting management of Erasmus AM's OPC funds. Per shareholder communication dated September 9, 2022, BNP Paribas Securities Services merged with its parent company BNP Paribas SA on October 1, 2022.
Scale indicators2 records
Recent moves7 records
Expansion highlights5 records
Erasmus Gestion competitors and assessment
Company assessmentBroad incumbents
- Groupama Asset Management: French asset manager (Groupama group) offering European equity, multi-asset and SRI funds. Comparable product overlap but operates as part of a large insurance group with institutional distribution and significantly larger AUM.
- Lazard Frères Gestion: French asset management subsidiary of Lazard with a broad European equity range including small/mid-cap strategies and SRI-labelled funds. Comparable product overlap but operates at significantly larger scale as part of the global Lazard group.
- Oddo BHF Asset Management: European asset manager with mid-cap equity, multi-asset and ESG-labelled funds, serving French and German wealth channels. Comparable in product overlap (European small/mid-cap, ESG) but materially larger AUM and broader geographic footprint.
Direct peers
- BDL Capital Management: French independent asset manager specializing in European growth and mid-cap equities. Comparable boutique model focused on European listed equities, with similar client base among French wealth advisors.
- Amiral Gestion: French independent boutique (now affiliated with Indosuez Wealth Management) specializing in European and global equities with ESG integration. Comparable independent-boutique heritage, European equity focus and SRI-labelled products.
- Dorval Asset Management: French independent asset manager offering European equity, multi-asset and flexible mandates. Comparable independent positioning, French regulatory framework, and overlap in discretionary management and European equity exposure.
- Montpensier Finance: French independent boutique asset manager with European equity and international conviction strategies. Comparable in size, independence (employee-owned heritage), and active management approach targeting European listed equities.
- DNCA Investments: French independent asset manager with European equity and multi-asset strategies, including SRI-labelled funds. Comparable independent-boutique model with overlapping European equity and ESG-integrated product offerings.
- Mandarine Gestion: Independent French asset manager focused on European small and mid-cap equities with strong ESG integration. Highly comparable in mandate focus, SFDR positioning, boutique scale, and French wealth-management distribution channels.
Regional players
- Federal Finance Gestion: French regional asset manager (Crédit Mutuel Arkéa group) with European equity, multi-asset and SRI funds. Comparable in fund taxonomy and French retail/wealth distribution, though operating within a banking group structure.
Market position
Strengths4 records
Weaknesses4 records
Competitive moat3 records
Key risks5 records
Key highlights6 records
Customer concentration
Erasmus Gestion social profiles
Digital presenceErasmus Gestion compliance and trust
Trust signalCompliance6 records
Erasmus Gestion financial estimates
Financial estimateRevenue estimate
Valuation estimate
Erasmus Gestion leadership team
Management profileNumber of profiles
Profiles10 records
Erasmus Gestion funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
Erasmus Gestion 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 Erasmus Gestion
What does Erasmus Gestion do?
Erasmus AM is an independent French asset management company managing approximately €300M across six investment funds focused on European Small and Mid Cap equities (Erasmus Small Cap Europe, Erasmus Mid Cap Europe, FCP Mon PEA, Erasmus Capital Plus, G Patrimoine, and the EDL 2030 closed-ended ELTIF). The firm supplements its fund range with discretionary portfolio management services (Gestion Sous Mandat), covering dedicated funds, financial engineering, and PEA/comptes-titres/FID mandates for professional and individual clients. All equity funds hold the French Label ISR and follow a fully integrated ESG approach built on MSCI methodology.
Is Erasmus Gestion a public or private company?
Erasmus Gestion is a private company. It is classified as management employee owned and is currently operating.
When was Erasmus Gestion founded?
Erasmus Gestion was founded in 2013. It employs 11 to 50 people.
Where is Erasmus Gestion based?
Erasmus Gestion is headquartered in Paris, France, in the Europe region.
How does Erasmus Gestion make money?
Two revenue lines are on record. Management fees on OPCVM funds are the primary driver. The others are discretionary portfolio management mandates.
Who are Erasmus Gestion's main competitors?
Broad incumbents on record are Groupama Asset Management, Lazard Frères Gestion and Oddo BHF Asset Management. Direct peers are BDL Capital Management, Amiral Gestion, Dorval Asset Management, Montpensier Finance, DNCA Investments and Mandarine Gestion. Federal Finance Gestion is listed as a regional player.
Does Erasmus Gestion have an API?
No public API is recorded for Erasmus Gestion.
What industry is Erasmus Gestion in?
Erasmus Gestion's product category is Asset Management. Its primary akta.pro industry code is FSANAJAL, ESG Integration / Responsible Investment Funds (Broad ESG), with a secondary code of FSAAACAG, Institutional Consulting RIAs (OCIO/Endowments/Foundations/Pensions). Its NAICS code is 523940 and its SIC code is 6282.