Millenium Group

Financial Experts

Millennium is crafted to support investment professionals’ success. By empowering entrepreneurial portfolio managers and their teams within our framework, we attract top talent and enable them to achieve peak performance. Our advanced investment environment aims to provide the best resources and service, positioning our professionals to excel.

A blank page symbolizes endless
possibilities. Let your creativity lead the way.

--Marc Kueff, Senior Portfolio Manager

Why Millennium

A setting that
enables financial
experts to thrive

Our goal is for our financial experts to achieve greater success here than they could anywhere else.

Our specialists independence and specialization, granting managers the freedom to lead their teams and shape their investment strategies. We support this with a performance-driven economic model tailored to the individual success of each team within our structure.

As a prominent eu alternative boutique management firm, we back teams employing diverse investment tactics. Our competitive edge stems from offering access to financing, liquidity, data, research, and execution capabilities across European sme and various startup and business class.

We provide bespoke, cutting-edge tools and technology tailored for every phase of the rescuing process. These resources are crafted to deliver valuable insights to our investment professionals.

Millennium is dedicated to constantly refining and upgrading our operating system, ensuring that our teams have access to the necessary resources, technology, and infrastructure. This flexibility allows our network of professionals to concentrate on their activities without being burdened by operational concerns.

With more than 20 years of experience and a strong network of introducers and agents, we can provide quick solutions to facing difficulties sme’s. These elements are essential to sustaining our long-term vision.

Disciplines

Expansive, diverse
investment strategies

We play a major role in any liquid tangible market across EU, always exploring new strategies that align with our risk and return profiles.

Fundamental Equity Based on Relative Value

Our teams conduct in-depth research on companies, operating both as generalists and as experts focused on specific sectors or sub-sectors.

Equity Arbitrage

Our teams engage in diverse arbitrage strategies, both systematic and fundamental, targeting various segments of a company’s capital structure. This includes merger arbitrage, event-driven tactics, convertible arbitrage, options volatility trading, and more.

Fixed Income

Our teams manage diverse approaches focused on asset allocation, deciding on acquisitions, divestitures, and holdings for companies facing challenges, across areas including credit markets, macroeconomic trends, interest rates, and securities, both mortgage and asset-backed, as well as commodities.

Debt restructuring

Our teams develop and refine investment methodologies that are largely quantitative, targeting diverse asset categories like global stocks, interest rates, foreign exchange, and derivatives linked to commodities.

Connect, the system is ready