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Best Practices

At Santander Asset Management, we are committed to following the industry’s best practices. In line with this commitment, we have adopted the Global Investment Performance Standards (GIPS®) in Luxembourg.

Santander AM Luxembourg claims compliance with the Global Investment Performance Standards (GIPS®) and has been verified by an independent third party for the periods of 31/12/2010 to 31/12/2017. Santander AM Luxembourg S.A., is the investment manager of all the Investment Funds of Santander Asset Management domiciled in Luxembourg and manages a variety of Equity, Fixed Income and Balanced assets. For a list of descriptions of composites and / or a presentation in compliance with the GIPS standards, please e-mail:

First published in 1999 by the AIMR® (now the CFA Institute®), GIPS® are a set of ethical self-regulation standards for the reporting of results that ensure the fair representation and full disclosure of investment returns. The standards set out a series of mandatory requirements as well as non-binding recommendations regarding all aspects involved in the calculation and presentation of results, including: source data, methodology for calculating returns, creation of aggregates, relevant information and the presentation of results.

Our certainty of the importance and benefits of adopting the GIPS® standards in the investment industry, have led us at Santander Asset Management to initiate a project to extend these GIPS® standards to the other countries where we have a presence, and to be in GIPS® verified in each and every one of the countries in which we operate.

Related Documents

GIPS® Policy Document (1080 Kb)