Who we are
Our expertise
Lazard Frères Gestion offers all the flexibility of an entrepreneurial asset management firm backed by the resources of a large international group.
We offer a wide range of investment solutions for our institutional clients and distribution partners: equities, bonds, convertibles, diversified management, and alternative management.
Our investment solutions are available through open-ended funds and customized funds, including a range of mutual funds managed by Lazard Asset Management.
Our key figures*
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€44.9bn
Assets under management
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243
Employees
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45
Investment professionals
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6
Offices
*as of 31 December 2025
Our key figures
€41B
234
6
€41B
Assets under management as of January 31, 2025
234
Number of employees at Lazard Frères Gestion as at 31 December 2024.
6
Offices in Europe
Assets under management evolution (€bn)
December 31, 2024, Lazard
A range covering all asset classes
Values in percentage (%)
Asset management by the Lazard Group
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Lazard Frères Gestion
Lazard Frères Gestion is the asset management company of the Lazard group in France. It benefits from all the expertise of a major asset management firm backed by a powerful international group. The company manages more than €40 billion in assets on behalf of its private and institutional clients and has offices in Paris, Lyon, Bordeaux, Nantes, Brussels and Luxembourg.
The union of expertise
At Lazard Frères Gestion, institutional and private wealth management are integrated within the same company, enabling optimal synergy across all areas. We draw on teams of experts specialising in macroeconomics, equity management, bond management, diversified management, alternative management, private equity and wealth engineering. This integration allows us to share all relevant information concerning financial analysis and knowledge of economic cycles, thus offering our clients comprehensive and consistent expertise.
Knowledge of companies
In-depth knowledge of companies is at the heart of our investment approach. We are committed to understanding in detail the internal and external dynamics that influence the performance of the companies in which we invest.
Through rigorous analysis and in-depth research, we identify companies capable of generating sustainable value. This expertise enables us to select high-quality assets, accurately assess their potential and proactively manage risk, while remaining true to our disciplined investment principles.