Conviction in Fundamentals. Powered by Technology.
RAM Active Investments
RAM Active Investments (RAM AI) is a Geneva-based institutional asset manager created in 2007 with the conviction that harnessing data, technology and human experience is pivotal to delivering sustainable returns and fulfilling investors’ needs for innovative and active solutions. With research at the forefront of its disciplined investment approach, RAM AI focuses on scientific data analysis and risk-led portfolio construction techniques to identify and exploit new market inefficiencies. The firm manages Systematic Equity, Alternative and Credit strategies.
The following product categories are offered
- Artificial Intelligence
- Asia
- Bond Multi Currency
- Bond Unconstrained
- CLO
- China / RMB
- Emerging Markets
- Equity Countries
- Equity Global
- Equity Global SRI
- Equity Growth
- Equity Long/Short
- Equity Quality
- Equity Quant
- Equity Regions
- Equity Sectors
- Equity Value
- European Corporate Bond
- Hedge Fund (Single Manager)
- High Yield
- Korea
- Liquid Alternatives
- Sustainable
- Total Return / Absolute Return
- Vietnam
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How to Benefit from Emerging Markets Growth While Avoiding Concentration Risk
EM present real opportunities, but also real structural risks when accessed via traditional benchmarks. Market concentration and changing regional dynamics suggest that investors should examine not only whether to allocate to EM, but also how to do so. The RAM Emerging Markets Equities strategy provides an alternative: a diversified, style-consistent portfolio grounded in valuation, quality, and risk balance. With a strong track record of risk-adjusted returns and downside protection, the strategy offers investors a systematic and measured approach to capturing EM equity growth, while mitigating the risks of a benchmark-based exposure.
ram AI: Emerging Markets Equities Fund - December Report
All details about our Emerging Markets Equities Fund for December 2025.
We are launching a new target maturity fund, 5 Year maturity, 5.4 % Yield in Euro, 3.2 % in CHF, widely diversified, BB rated. All details in the document.
Using AI in Credit Screening
Unlike equities, where disclosures are standardised and datasets are readily available, credit investors face the challenge of piecing together fragmented, unstructured, and costly information. At the same time, the pressure to cover a broad issuer universe efficiently has never been higher. This makes credit a natural domain where AI can directly enhance established investment processes.
Company age
Awards
- Les Globes de la Gestion 2024 Category Emerging Markets
- Les Globes de la Gestion 2024 Category Thematic Equity - Environment
- MondoAlternative Awards 2025 Category Best Liquid Alternative Equity Market Neutral
Assets under management
Direct contact
Rue du Rhône 8
1204 Genève
Switzerland