Due Diligence d'Investissement (IDD)
Une évaluation rigoureuse de la qualité des gérants
Identifying best-in-class fund managers requires deep qualitative and quantitative analysis. Our Investment Due Diligence (IDD) service provides a structured approach to evaluate fund managers and investment strategies, ensuring confidence in your allocations.
Our IDD process includes:
Manager Evaluation:
Investment Team Assessment: We delve into the skill of portfolio managers, the quality and depth of the analyst bench, and the fairness of compensation and retention structures. We seek stability, clear ownership, and effective decision-making dynamics within the investment team.
Investment Process & Philosophy: A critical review of the fund’s investment philosophy, idea generation process, portfolio construction techniques, and integrated risk management. We score the investment process based on its robustness and consistency.
Track Record Analysis:
Performance & Risk Analysis: We go beyond headline returns to examine historical performance, focusing on risk-adjusted returns, alpha generation, and performance during various market regimes, including down markets. We ensure performance consistency with the stated investment process and conduct detailed performance attribution analysis.
Operational Due Diligence:
Infrastructure & Compliance Review: A thorough analysis of the fund’s operational infrastructure, internal controls, compliance frameworks, and the reliability of their service providers (e.g., custodians, administrators). This ensures the fund’s operational robustness and adherence to regulatory standards, mitigating potential risks.
Fees and Alignment:
Cost Transparency & Incentives: We meticulously assess fund expenses to ensure they are competitive and justified. We also evaluate manager incentives and look for co-investment from managers to ensure strong alignment of interests with investors.
ESG Integration:
Policy Depth & Practical Implementation: We conduct a thorough ESG Due Diligence process, assessing the depth of the fund’s ESG policies and, crucially, how effectively they are integrated into the actual investment process and decision-making.
Outcome: Confidence in selecting high-quality, well-managed funds that align with your strategic goals, risk tolerance, and liquidity needs.
Principaux axes d’analyse:
Stabilité, actionnariat, dynamique de décision
Philosophie, exécution, contrôle des risques
Attribution, constance, sensibilité aux cycles de marché
Infrastructure, conformité, prestataires
Transparence des coûts, frais de performance
Détail de l’approche responsable et application concrète
Principaux axes d’analyse:
Stabilité, actionnariat, dynamique de décision
Philosophie, exécution, contrôle des risques
Attribution, constance, sensibilité aux cycles de marché
Infrastructure, conformité, prestataires
Transparence des coûts, frais de performance
Détail de l’approche responsable et application concrète
Analyse comparative des gestionnaires
Nous comparons les gérants non seulement entre eux, mais aussi par rapport à vos objectifs, à votre tolérance au risque et au rôle assigné dans votre portefeuille.
Nos rapports sont adaptés à votre gouvernance : synthétiques pour les administrateurs, détaillés pour les CIOs. Nous proposons également des notations qualitatives et un score de conviction propriétaire pour appuyer vos priorisations et décisions.
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