ACWI ex US All CapAn international portfolio seeking long-term compounding, combining developed and emerging markets – with 30+ years of experience.
Asia ex JapanA patient strategy in fast-paced markets. Embrace diverse growth opportunities in the hope of capitalising on inefficiencies.
ChinaA diversified portfolio of 40-80 of the best growth companies in China, regardless of listing location, size or weight in an index.
China A SharesA concentrated portfolio of 25-40 high-growth companies that are listed in China’s domestic market.
Developed EAFE All CapAn international portfolio focused on long-term compound growth, exclusively investing in developed markets – with 30+ years of experience.
Diversified GrowthInvestment across a wide range of asset classes with the aim of achieving attractive long-term returns at lower risk than equities.
Diversified ReturnWe look to deliver attractive returns over the long term with reduced volatility, via a portfolio invested across a broad range of asset classes.
EAFE Plus All CapWith exposure to emerging markets, this international portfolio with 30+ years’ experience seeks long-term growth.
Emerging Markets All CapOur longest-standing Global Emerging Markets portfolio, targeting the world’s best Emerging Market companies with a diversified approach.
Emerging Markets Concentrated GrowthA highly concentrated Emerging Markets portfolio, our purest form of Emerging Markets stock-picking.
Emerging Markets ex ChinaSeeking to provide exposure to the best Emerging Market opportunities outside of China, an increasingly common consideration for investors.
Emerging Markets Leading CompaniesA more concentrated Global Emerging Markets portfolio of 35-60 stocks. Seeking strong opportunities to own for the long term.
Emerging Markets Local Currency BondClear vision, diverse returns: Navigating emerging markets with a focus on optimising client outcomes.
Europe ex UKElevate your portfolio with Europe's outliers - exceptional companies with exciting potential.
European High Yield BondFinding hidden potential in high-yield bonds - our diversified portfolios spotlight resilient companies with the potential to outperform in the long term.
Global AlphaAmbitious growth investing in exceptional companies, prioritising long-term sustainability and competitive advantages for lasting success.
Global Alpha Ethically RestrictedInvest with ambition: We aim to unlock exceptional growth potential through long-term, sustainable competitive advantage.
Global Alpha Paris AlignedClimate-conscious investing in exceptional growth companies worldwide, using investment floor insights to find diverse opportunities.
Global Alpha Paris Aligned Ethically RestrictedResponsibly investing in diverse growth companies, addressing the climate crisis with flexibility and open-mindedness to unlock varied opportunities.
Global CoreWith over 20 years of experience, our Global Core strategy offers tailored asset allocation to invest in Baillie Gifford's regional equity ideas.
Global DiscoveryWe look for early-stage transformative companies poised for long-term growth, scaling up to shape the next decade's success.
Global Income GrowthBalancing current income needs and long-term capital growth, aiming for comprehensive, enduring returns.
Global Strategic BondComprehensive corporate bond investing with our innovative, research-driven approach, setting us apart with distinctive insights and experience.
Health InnovationInvesting in solutions-driven healthcare companies addressing societal challenges, with the aim of generating strong returns.
International AlphaInvest in compounders, rapid growth, cycle winners, and capital allocators for what we hope will prove a robust, opportunity-driven portfolio.
International Concentrated GrowthLooking for outstanding global firms transforming societies and economies, seizing significant market share opportunities.
International GrowthSustainable success, global reach: We aim to invest in growth companies with enduring competitive advantages and forward-thinking cultures.
International Smaller CompaniesDedicated to discovering exceptional small companies in untapped markets, investing with an ownership mindset aiming for optimal growth.
Investment Grade BondWe aim to balance risk and reward, seeking fundamentally-strong companies for attractive returns and long-term market outperformance.
Japan All CapDiscover Japan's untapped potential. Focusing on fundamentals, we try to find mispriced, under-appreciated growth opportunities.
Japan GrowthUnearthing Japan's hidden opportunities, our strategy targets emerging disruptors, strong franchises, and corporate reform for growth.
Japan Income GrowthWe try and find Japan's undervalued assets through a fundamentals-driven approach for investors seeking potential growth opportunities.
Japan Smaller CompaniesWith in-depth insight into Japan's history, we aim to uncover undervalued opportunities for investors.
Long Term Global GrowthConcentrated portfolios of potentially game-changing companies, reshaping returns and embracing future structural shifts for success.
ManagedWe have 30+ years of experience in uniting exceptional global equity and bond opportunities, balanced with cash for a top-tier idea portfolio.
Multi Asset GrowthWe look to deliver attractive returns over the long term with reduced volatility, via a portfolio invested across a broad range of asset classes.
Pan EuropeWe seek out Europe's standout companies with the potential to deliver exceptional investment returns.
Positive ChangeWe invest in companies that we believe positively impact society and the environment, with the aim of generating attractive returns.
Responsible Global Equity IncomeWe believe in the potential power of dividend compounding for enduring income and long-term capital growth success.
Strategic BondA corporate bond strategy focused on the long-term success of companies, hoping to deliver lasting value and growth for client portfolios.
Sustainable Emerging Markets BondLending to sustainable emerging markets and companies, prioritising tomorrow's potential for attractive client returns.
Sustainable GrowthSeeking out companies that could benefit society and shareholders, and deliver lasting growth and positive impact for all.
Sustainable IncomeWe prioritise long-term income over short-term yield, with the aim of delivering investors a sustainable and enduring stream of returns.
Sustainable Multi AssetActively-managed exposure to different asset classes, seeking to deliver a good level of return over the long-term within clear risk and carbon limits.
UK AlphaA selection of carefully chosen businesses with a five-year-plus investment horizon.
UK CoreA focused strategy investing in British businesses for 5+ years, aiming for exceptional earnings growth and value.
Unconstrained High Yield BondTrying to discover companies with exceptional strengths for a high-performing, long-term investment portfolio.
US AlphaWe focus on growing businesses across diverse opportunities that we hope will drive exceptional returns over time.
US DiscoveryTransformative investing: Capturing early opportunities in small-to-mid cap firms with potential for growth and success.
US Equity GrowthInvesting in innovative, high-growth US companies that we believe may be at the forefront of global change.
Worldwide DiscoveryFinding early opportunities in small-to-mid-cap firms with the aim of discovering lasting growth and success.
Explore and filter our high-level investment capabilities and the strategies they contain.
Core growthLarge, diverse portfolios of growth-focused holdings built with benchmarks and reduced volatility in mind.
Equity and multi-asset incomeSeeking both dependable income and long-term capital growth.
Fixed incomeTargeting company and government bonds with a focus on long-term outcomes.
Flexible growthPortfolios containing a mix of firms focused on disruption, steady compounding and timely capital allocation.
High growthConcentrated portfolios of fast-growth companies, typically holding between 25 and 50 stocks.
The content of this website is intended exclusively for professional investors in accordance with MiFID legislation. ’Professional investors’ are potential investors who are deemed to have the status of “professional clients”, within the meaning of MiFID (2004/39/EC), as transposed in Ireland. It is not intended for retail investors.
Baillie Gifford Investment Management (Europe) Limited is authorised and regulated by the Central Bank of Ireland (Reference number C182354) as an Alternative Investment Fund Manager and UCITS Manager to Baillie Gifford Worldwide Funds plc. Its registered office is 4/5 School House Lane East, Dublin 2, D02 N279, Ireland.
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