Who we are

IBG Capital Management is a Luxembourg based management company incorporated under the laws of the Grand Duchy of Luxembourg. The company is a private limited company (“société à responsabilité limitée” or “S.à r.l.”) and is fully owned by Investment Bank of Greece, a leading Greek Financial Institution.

The company acts as the managing General Partner of the Luxembourg domiciled IBG Global Funds SICAV-SIF (the “Fund”). The Fund is registered as an investment company with variable capital (“société d’investissement à capital variable”) under the Law of 13 February 2007 relating to specialized investment funds as amended (the “2007 Law”) and is fully regulated and supervised by the Commission de Surveillance du Secteur Financier (CSSF). The Fund qualifies as alternative investment fund in accordance with the law of 12 July 2013 on alternative investment fund managers (the “AIFM Law”) and has designated the General Partner to act as external alternative investment fund manager registered with the CSSF in accordance with Article 3 (2), (3) of the AIFM Law.

What we do

IBG Capital Management through its flexible investment platform IBG Global Funds SICAV-SIF umbrella Fund, offers to clients specialized asset management solutions in Luxembourg.

Through its Fund structure the company also offers to financial advisors, investment managers, family offices, high net worth individuals and many other professionals the possibility to create their own dedicated onshore and regulated sub-fund according to their needs covering a wide range of investment strategies such as plain vanilla strategies, hedge funds, real estate, private equity and venture capital, microfinance etc. The Fund operates and achieves its objective by utilizing best infrastructure provided by highly reputable collaborating institutions and parties domiciled in Luxembourg.

Our Investment Philosophy

At IBG Capital Management, we approach investing with patience and discipline. By carefully balancing risks and rewards, we strive to give our clients competitive risk-adjusted returns. At the core of our activities is an active investment philosophy, based on fundamental analysis and with focus on portfolio risk control. We strongly believe that a disciplined and structured approach to asset management is the best way to both preserve capital and ensure long-term capital appreciation for our clients.