Polen Capital

A global leader in quality growth equity and high yield credit investment strategies. Polen Capital had $41.9bn AUM at the end of December 2025.

Polen Capital is an independent asset manager with investment capabilities across asset classes and a global footprint, delivering active, high-conviction, and competitively advantaged growth equity, and high yield credit strategies.

$29.4 bn

Assets under management (as of 03/31/2026)

2015

Became a Partner

1979

Founded

244

Employees

iMGP Funds

Fund Name ISIN Fund Inception Fund Size Asset Class

Investment Approach

Founded in 1979 and based in Boca Raton (Florida, USA), Polen Capital is a global asset manager delivering growth equity and credit strategies to a wide range of clients. Polen offers distinctive growth equity and high yield fixed income solutions, building high conviction, concentrated, competitively advantaged, active portfolios with the potential to compound and outperform over the long-term. The firm has a distinctive culture and is committed to attracting, developing, and retaining exceptional professionals who are aligned with the firm’s mission of preserving and growing clients' assets to protect their present and enable their future.

Related Insights

October 2, 2025

Polen Capital Emerging Markets ex China Growth Third Quarter 2025 Commentary

November 11, 2025 | Commentary

Polen Capital Global Growth ETF Third Quarter 2025 Commentary

November 11, 2025

Polen Capital Global Growth ETF Third Quarter 2025 Commentary

November 13, 2025 | Commentary

Polen Capital Emerging Markets ex China Growth Third Quarter 2025 Commentary

February 11, 2026

Polen Capital International Growth ETF Fourth Quarter 2025 Commentary

The Polen Capital International Growth ETF fell 2.26% (NAV) and 2.53% (market price return) during the fourth quarter of 2025, underperforming the MSCI ACWI ex. Index (up 5.05%).

February 27, 2026

Polen Capital Global Growth ETF Fourth Quarter 2025 Commentary

The Polen Capital Global Growth ETF fell 2.85% (NAV return) and 2.61% (market price return) during the fourth quarter of 2025, underperforming the MSCI ACWI Index (up 3.29%).

May 11, 2026 | Insight Article

Polen Capital China Growth ETF First Quarter 2026 Commentary

The Polen Capital China Growth ETF fell 8.68% (NAV return) in the first quarter of 2026, trailing the MSCI China All Shares Index (down 6.52%).

May 12, 2026 | Insight Article

Polen Capital International Growth ETF First Quarter 2026 Commentary

The Polen Capital International Growth ETF fell 14.03% (NAV) during the first quarter of 2026, underperforming the MSCI ACWI ex. Index (down 0.71%).

May 12, 2026 | Insight Article

Polen Capital Global Growth ETF First Quarter 2026 Commentary

The Polen Capital Global Growth ETF fell 16.11% (NAV return) during the first quarter of 2026, underperforming the MSCI ACWI Index (down 3.20%).
Disclosure:

Polen Capital Management, LLC is an independent registered investment advisor.

ESG refers to Environmental, Social, and Governance criteria. The Global Emerging Markets ex-China Growth strategy integrates material environmental, social, and governance (ESG) factors into research analysis as part of a comprehensive evaluation of a company’s long-term financial sustainability. There is a risk that the investment techniques and risk analyses applied, including but not limited to the integration of ESG factors into the research analysis, will not produce the desired results and that legislative, regulatory, or tax developments may affect the investment techniques available. There is no guarantee that the investment objective will be achieved.

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