Aegon Asset Management is a research-driven asset management firm focused on disciplined capital allocation, robust risk management, and sustainable portfolio growth across market cycles.
Aegon Asset Management is a forward-thinking asset management firm focused on disciplined capital allocation, long-term wealth preservation, and sustainable portfolio growth. The firm applies rigorous analytical frameworks, risk-controlled strategies, and transparent governance structures to deliver consistent value to clients across varying market cycles.
We are a professional asset management firm delivering disciplined investment solutions designed to preserve and grow capital over the long term. Through rigorous research, strategic asset allocation, and robust risk management, the firm supports clients in navigating complex financial markets with confidence and clarity.
Guiding financial growth with 24+ years of expertise.
Where bold ideas turn into smart investments.
Striving for customer satisfaction is top priority.
Real value. Clear results. For every client.
To stay safe, it’s important to know who you’re speaking to and avoid giving away sensitive information
Only the following email addresses are authorised Aegon International staff emails:
sales@aegonasset.uk
kirstiemacgillivray@aegonasset.uk
jimewing@aegonasset.uk
admin@aegonasset.uk
Aegon Asset Management operates on the principle that superior investment outcomes are achieved through discipline, diversification, and patience. The firm avoids speculative behaviour and focuses on structurally sound assets with measurable fundamentals.
Customised portfolios designed to balance risk and return across asset classes, aligned with client objectives and investment horizons.
Strategic advisory services for high-net-worth individuals and institutions focused on long-term capital planning and preservation.
Macro-driven allocation frameworks that adjust exposure across economic cycles while maintaining diversification and risk control.
Aegon Asset Management prioritises protecting capital as a prerequisite for sustainable growth, especially during periods of market volatility.
Investment strategies are grounded in data analysis, macroeconomic research, and disciplined asset selection—not speculation or hype.
We operate a consistent investment framework that emphasises portfolio construction, risk management, and periodic review.
We focus on building resilient portfolios designed to perform across different economic environments, not chasing short-term trends.
Client relationships are built on clarity, alignment, and informed decision-making rather than aggressive sales practices.
Disciplined Capital Management
Client portfolios are managed using structured, research-driven processes designed to prioritise risk control and long-term value creation rather than speculative short-term returns.
Every strategy incorporates downside risk assessment, diversification principles, and continuous monitoring to manage exposure across market cycles.
Client relationships at Aegon Asset Management are built on professionalism, clarity, and long-term alignment. Feedback shared below reflects individual experiences of our investment approach, communication standards, and risk-aware philosophy.
support@aegonasset.uk
+447577322691
The Leadenhall Building 122 Leadenhall Street London EC3V 4AB United Kingdom
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