The purpose of an asset manager is to deliver value to its investors.
At Santander Asset Management, we welcome the opportunity to provide more insight on what we do and present our first set of Value Statements covering the period of 31 December 2018 - 31 December 2019. The aim of the Statements is to make it easier for investors to assess whether they are receiving good value from us and to make better informed investment decisions.
We welcome any questions or feedback you may have. Please get in touch via the 'Contact Us' section.