Capital at risk
Europe equities
Europe has no shortage of fantastic businesses, but you must dig deep to find them. We take a long-term, active approach to uncovering the continent’s great growth opportunities.
Why invest in European equities?
You might think of Europe as a bureaucratic juggernaut, but the region produces its fair share of big stock market winners. These opportunities range from small- and mid-sized companies occupying valuable niches in broader ecosystems to world-leading consumer franchises. Excitingly, these clusters of excellence have the potential to evolve radically, helping industries and society tackle major changes in the years ahead.
How do we invest in European equities?
We’ve managed dedicated European equities portfolios since 1985. These are high-conviction, containing a small number of select companies that we aim to hold for years because of their potential for returns.
We look for businesses with strong growth prospects and sustainable competitive advantages. Often, exceptional people manage or control them, including families or founders.
Europe equities strategies
All our investment capabilities
Core growth
Large, diverse portfolios of growth-focused holdings built with benchmarks and reduced volatility in mind.Equity and multi-asset income
Seeking both dependable income and long-term capital growth.Fixed income
Targeting company and government bonds with a focus on long-term outcomes.Flexible growth
Portfolios containing a mix of firms focused on disruption, steady compounding and timely capital allocation.High growth
Concentrated portfolios of fast-growth companies, typically holding between 25 and 50 stocks.
Important information
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.
This website is informative only and the information provided should not be considered as investment or other advice or a recommendation to buy, sell or hold a particular investment. Read our Legal and regulatory information for further details.