alpha connect capital

Creating added value together since 2009

The name alpha connect capital reflects our agenda – we create added value for investors and asset managers. Experience, expertise and clear principles form a broad basis of trust.

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Professional
set up

We have been successful on the market since 2009. Prior to that, the team held leading positions at banks and asset management companies.

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Putting all the
pieces together

We think and act holistically. Successful capital raising requires much more than just the presentation of a product: we have the whole picture in mind.

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Institutional
character

We are an experienced financial services provider - authorised and supervised by the German BaFin. Our clear focus: covering institutional investors.

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Well
connected

We have an established network and access to managers and investors. Our co-operation with Donner & Reuschel Privatbank enables us to increase our reach.

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Clearly
different

We favour strategies and products that stand out from the general market: We go our own way.

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Long-term
commitment

Continuity is more important to us than quick, one-off success: we focus on long-term partnerships.

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Our services

Joining forces

Whether investor or asset manager, alpha connect capital has the right offer for both.

alpha connect capital for investors

Deep understanding
Our activities are based on our in-depth knowledge of the market and our comprehensive understanding of our clients' needs and challenges. alpha connect capital stands for the integration of investor criteria with access to attractive investment strategies.

Efficient communication
Our aim is to simplify processes for the investor, in particular through smooth communication with the asset manager. Investors' questions and requirements are addressed as quickly as possible.

The complete package
A product should not only convince with its performance, but all around. The legal framework must also be right for the investor. For example, the fulfilment of reporting requirements or the creation of customised investment formats.

alpha connect capital for asset managers

Strategic partnership
We favour long-term partnerships with a small number of selected asset managers. This enables us to offer our full service with all the benefits and to optimally recognise the special features of the strategy and the manager. We see ourselves as an extended workbench for the manager and not as a placement agent.

Established network
alpha connect capital has an established and diversified network - focussing on German and Austrian investors. These include insurance companies, pension schemes, pension funds, banks, corporates, family offices, asset managers and asset managers.

Reliable customer support
A prerequisite for sustainable distribution success is the reliable and conscientious coverage of investors - both before and after an investment. Our aim is to utilise the manager's resources - and time - as efficiently as possible. For optimal investor support.

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Our partners

Combining expertise

alpha connect capital works in a focussed manner with a small number of selected asset managers. What counts for us is continuity and genuine co-operation. Or as we put it in a few words: Partnership. Long-term. Value-adding.

Logo: Donner & Reuschel

Donner & Reuschel Aktiengesellschaft is a private bank that has been operating since 1798 and is headquartered in Hamburg. It is part of the Signal Iduna Group, one of the largest insurance companies in Germany.

The cooperation particularly includes the identification, analysis and distribution of strategies and products. The joint sales acitvities include products from Aquantum GmbH, Munich (a specialist for systematic strategies), Xaia Investment GmbH, Munich (focus on market-neutral credit strategies) and Rivage Investment SAS, Paris (European infrastructure debt manager).

Logo: Asgard Asset Management

Asgard is an asset manager based in Copenhagen, Denmark. The outstanding track record of its Fixed Income Relative Value strategy goes back to 2003. The foundation of Asgard Asset Management's investment philosophy is the belief that risk premiums in the fixed income markets can be identified and isolated.

Asgard combines consistent asset and market modeling with extensive market understanding and has been able to achieve high risk-adjusted and uncorrelated returns.

Logo: Nordic Credit Partners

Nordic Credit Partners (NCP), based in Stockholm, Sweden, is an asset manager specializing in the Nordic credit markets. NCP is now part of the Altaal group, which specializes in private markets. NCP was founded in 2013 by well-known experts from the Scandinavian financial industry.

NCP's strategy aims to benefit from the distinctive features of the Nordic credit markets and generate attractive risk-adjusted returns over time. Fundamental components of the strategy include a fundamental bottom-up analysis of the target companies and a sustainability approach that is fully integrated into day-to-day business.

Logo: Sanlam

Sanlam was founded in South Africa in 1918 as a life insurance company. Today, Sanlam is a diversified, global financial services provider with approximately 110,000 employees, USD 70 billion in assets under management, a market capitalization of USD 9 billion and a Fitch rating of AA+ (Dec 31, 2023).

Sanlam Investments UK, based in London, has many years of expertise in the active management of equity, fixed income, multi-asset and alternative investment strategies. Particularly noteworthy here are the Global Artificial Intelligence Fund, the Multi Strategy Fund and the Real Assets Fund.

People

Moving the market together

alpha connect capital is the address for innovative investment strategies. We look forward to your call, your email and to meet you in person.

Jürgen founded alpha connect capital GmbH in 2009 together with Axel Gengenbach.

Before that, he worked in investment banking in London, most recently as Managing Director at Deutsche Bank, where he was responsible for sales activities for fund derivatives in German-speaking countries. This particularly included the structuring of investment platforms and innovative investment formats for institutional customers.

From 1997 to 2002 he was responsible for alternative investments at the Gothaer Insurance Group.

Jürgen holds a degree in economics (Diplom-Volkswirt) from the University of Konstanz, Germany.