Multi-strategy multi-asset approach to generating absolute returns by taking advantage of opportunities across the risk-reward spectrum. We aim to deliver positive returns over time, regardless of the prevailing market conditions, and with a low correlation to the broader market.
Our expertise is in fundamental and quantitative research, trading, and focus on risk management. Our philosophy is driven by a rigorous analytical approach in all aspects of decision making.
We invest across:
Combination of active, market non-directional strategies in underlying equity and derivative markets, aiming to achieve consistent absolute returns across different market conditions.
Trade systematic options based strategies that capture inefficiencies and
relative-value opportunities prevalent in the volatility surface of currency markets.