We are an active manager focused on generating excess returns across a variety of products to meet investor needs.

Our investment management philosophy is reflected in the multi-boutique model. We do not have a ‘one-size-fits-all’ investment approach.
Investing with BT Investment Management (BTIM) gives our individual and institutional customers access to a diverse range of investment choices, covering a wide range of asset classes, using different investment approaches.

Our teams actively manage investments in Australian equities and listed property, Australian and international fixed interest, global equities, multi-asset portfolios and alternative investments. J O Hambro Capital Management, 100% owned by BTIM, actively manages a range of different global and regional equity investment strategies.

External managers sub-advise to BTIM in certain asset classes including global property, global alternative investments and some regional equity investments. We select and evaluate our external managers based on their investment culture, people, acumen and performance as well as their business robustness, quality of management and operational strength.

This approach gives our investors access to high quality domestic and international investment expertise across asset classes.

A global perspective

We are a global business, operating across the Americas, Europe, Asia and Australia.




Our capabilities*


Income &
Fixed Interest
Core Global Government Growth
Concentrated Global Small Composite Balanced
Mid-cap EAFE Pure Alpha Conservative
Small-Cap Europe Monthly Income Plus Lifecycle
Long/short UK Credit  Smart beta
Micro-cap Emerging Markets Enhanced Income Alternative Asset
Listed Property Emerging Markets Small Cash
Equity Income Asia ex-Japan
Ethical/SRI Japan
Tax-effective US Small-mid

*Not all strategies available to non-institutional Australian investors.