Colibri AM
Colibri AM Asset Management — responsible investment distribution
Entity Colibri AM Founded 2020 Location Libourne, France Audience professional / institutional

Firm profile

Colibri AM is a small, independent French asset management firm specialized in the distribution and commercialization of ISR (Responsible Investment) funds.

Mission

Our role is to support professional stakeholders—fund distributors, institutional partners, and due diligence teams—with clear information and stable processes around responsible investment products. We prioritize documented methods and governance over narrative.

Working stance

Method before message

We treat ISR as a discipline: definitions, criteria, evidence, and controls. This reduces ambiguity in distribution and in ongoing monitoring.

Typical use

Due diligence, documentation, operations

The site is written as a reference. It is intended to be cited, reviewed, and compared—like an internal memo.

Independence

Independence is not a branding line; it is a working constraint. It means focused scope, clarity of responsibility, and direct accountability. For partners, it translates into stable points of contact and predictable documentation practices.

Scope Focused on ISR fund distribution and commercialization. No adjacent product promises.
Decision clarity Explicit responsibilities, traceable decisions, and predictable escalation paths.
Partner readiness Documentation packs and response routines designed for professional due diligence.

Philosophy

Responsible investment requires precise language. We avoid claims that are not auditable and prefer definitions that can be applied consistently across time. Where regulation (e.g., SFDR) shapes the vocabulary and disclosure expectations, we align our communication accordingly.

Design choice: the site avoids ESG clichés (nature metaphors, emotional slogans). It uses light “paper” layouts, typographic hierarchy, and structured components to reflect a regulatory and memo-like mindset.

Long-term orientation

Long-term orientation is expressed through process continuity: criteria maintenance, monitoring cadence, and governance routines that remain stable through market cycles. This matters to institutional partners because it supports operational reliability and consistent communication.

Continuity
Definitions and criteria are maintained over time. When changes occur, they are documented and communicated.
traceabilityversioningconsistency
Monitoring
Ongoing review of holdings and controversies, with explicit escalation and remediation logic.
cadencecontroversiescontrols
Governance
Clear roles and review steps to reduce discretionary drift.
oversightaccountabilityauditability