Who we are

  1. Who we are

ABOUT US

Banor Capital is an independent asset management firm based in London, founded in 2010 by a team of professionals that has worked together since 2001. The firm offers a diversified range of UCITS and alternative investment funds for institutional and professional investors, alongside tailored wealth management for private clients. It is authorised and regulated by the UK Financial Conduct Authority (FCA).

The investment approach combines fundamental proprietary research, and a disciplined and rigorous risk management. Its objective is to deliver sustainable long-term value for clients by preserving and growing their wealth throughout different market cycles.

With approximately €2 billion in assets under management, Banor Capital draws on the expertise of its specialist investment team and its international network to identify opportunities across global markets.

Banor SAM is part of the same group. Incorporated under the laws of Monaco and authorised by the Commission de Contrôle des Activités Financières (CCAF), it manages the wealth of private clients and families in the Principality of Monaco.

OUR FUNDS

We are looking ahead, focusing on future challenges
As an independent entity we have strong international ties with some of the world’s most successful investors to grasp the best investment opportunities. We can offer high-value-added funds managed with a simple, disciplined and diligent method that we are able to reproduce over time.

OUR TEAM

We’re fortunate to have people with great personal and professional qualities: our closely-knit team is Banor’s true added value!
Our experts have experience in the key sectors and markets our clients are invested in. Their skills provide a diverse global coverage that boosts success and confidence in today’s investment environment.

BANOR ESG

How to preserve capital sustainably overtime
Nowadays we are no longer able to disregard the environment and the wellbeing of people in our investments and we have the responsibility of fostering a greater awareness of sustainability. Integrating environmental, social sustainability and governance criteria (ESG) using the traditional models of value-based financial analysis can benefit the investment strategies.