Overview

In today’s world of capital markets, generating attractive performance out of an investment portfolio could never be harder. The increased geopolitical and market uncertainty, coupled with increased dependencies and correlations across different asset classes, a by-product of a more connected world, make it extremely difficult to produce satisfactory investment performance without taking undue risk.

Our research in the field of quantitative finance allows us to develop alternative investment solutions with the aim to generate absolute returns irrespective of the direction of the world’s capital markets. Our solutions are focused on providing added diversification to traditional investment portfolios whilst generating attractive risk-adjusted returns over the long-term. Read more about our research here.

The investment strategies we develop are accessible only by professional or well-informed investors via regulated Funds or separately managed accounts offered by regulated investment managers. Read more about access to our investment programs here.