What We Do
At Dimacos Capital Ltd we apply science and quantitative finance to develop absolute return investment strategies. We seek our strategies to generate attractive positive performance, over the long-term, irrespective of the direction of the stock and bond markets.
Our sole focus is the development of strategies able to withstand unexpected market gyrations whilst capturing profitable opportunities without exposing capital to undue risk.
In pursuing our objective, we seek to differentiate our trading strategies beyond what is already out there, make things slightly different, use out-of-the-box thinking to drive results, seek to perform in as many different market regimes as possible, aim to deliver when traditional strategies don’t, whilst protecting capital during difficult times. In short, use innovation and uniqueness in pursuit of excellence.
Our flagship investment strategy, the Dimacos Diversified Program, blends a collection of systematic trend-following and value investing strategies in a way that creates an attractive investment program with sound expected risk-return characteristics. For more information on the program, click here.
Dimacos Capital Ltd is not regulated under the “Markets in Financial Instruments Directive (“MIFID”) or by any investment services regulator and as such we do not provide our strategies to end-investors nor do we provide any investment services with respect to our strategies. There strategies are exclusively adopted by appropriately regulated investment products, such as alternative investment funds, or regulated service providers such as investment managers.