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    Artificial Intelligence pioneers in asset management 

    For the past 20 years, our goal is to provide our customers with the best research. We believe in innovation, which brings strength and robustness permitting us to constantly adapt our understanding of risks and biases, to structure our management processes.

    The main idea is to make the data speak in the context of understanding the facts.

    Laurent Jaffrès
    CEO and founder of Vivienne Investissement

    Let us ensure the fact, before we worry about its cause. It is true that this method is very slow for most people, who naturally run to the cause, and pass over the truth of the fact, but finally we can avoid the ridicule of having found the cause of what is not.

    Fontenelle – Histoire des Oracles (1687)

    Science and innovation in asset management

    Vivienne Investissement is a French independent and entrepreneurial portfolio management company, created in 2005.

    Originally created from a financial research laboratory supported by Bpifrance, Vivienne Investissement, one of the first French fintechs, offers an innovative approach that places scientific expertise and innovation at the heart of portfolio construction.

    Based on an artificial intelligence approach to financial markets, the company has developed high-tech management processes that now combine 20 years of research led by a team of researchers and engineers from major French and international institutions. Innovation comes from the use of new robust portfolio construction techniques, the latest scientific discoveries and AI-based tools.

    2 0

    Years Of Research

    Our work in fund management is guided by three pillars representing the core values of Vivienne Investissement :

    in innovation and research, both basic and financial, while maintaining close ties with academia. Our researchers regularly participate in cutting-edge scientific conferences around the world.

    A systematic model allowing the design of strategies based on the dynamic control of risks, powered by science and artificiel intelligence.

    The management processes are fully repeatable and explainable.
    We only invest in liquid instruments listed on regulated markets.

    Past performance is not a reliable indicator of future performance. The funds mentioned carry a risk of capital loss.
    Funds Shareclass Solution ISIN NAV YTD Since inception SFDR? risk level?
    BréhatTail riskFR0013192424
    83
    BréhatTail riskFR001400IQ30
    83
    OuessantAbsolute returnFR0010985945
    83
    OuessantAbsolute returnFR0011540558
    83
    Mach3Absolute return
    64
    Mach3Absolute return
    64
    Mach3Absolute return
    64
    Fund
    Bréhat
    Shareclass I

    Solution
    Tail risk

    ISIN
    NAV
    FR0013192424

    YTD
    Since inception

    SFDR
    8

    risk level
    3

    Fund
    Bréhat
    Shareclass P

    Solution
    Tail risk

    ISIN
    NAV
    FR001400IQ30

    YTD
    Since inception

    SFDR
    8

    risk level
    3

    Fund
    Ouessant
    Shareclass A

    Solution
    Absolute return

    ISIN
    NAV
    FR0010985945

    YTD
    Since inception

    SFDR
    8

    risk level
    3

    Fund
    Ouessant
    Shareclass P

    Solution
    Absolute return

    ISIN
    NAV
    FR0011540558

    YTD
    Since inception

    SFDR
    8

    risk level
    3

    Fund
    Mach3
    Shareclass A

    Solution
    Absolute return

    ISIN
    NAV

    YTD
    Since inception

    SFDR
    6

    risk level
    4

    Fund
    Mach3
    Shareclass E

    Solution
    Absolute return

    ISIN
    NAV

    YTD
    Since inception

    SFDR
    6

    risk level
    4

    Fund
    Mach3
    Shareclass P

    Solution
    Absolute return

    ISIN
    NAV

    YTD
    Since inception

    SFDR
    6

    risk level
    4