We see the world in a period of major economic, policy and political transition, with the investment landscape shifting in ways that will make the coming decade look profoundly different from the past decade.
Our strategies are built to profit from this dynamic environment while providing strong diversification benefits to traditional investment portfolios.
Each is developed and managed by our diverse team of investment professionals with deep expertise in volatility, macro, inflation, digital asset and systematic trading/investing.
The firm manages assets for some of the world’s most prestigious institutions. Our strategies are offered at sensible fees via commingled Cayman funds, and can be delivered in bespoke combinations for large investors via fund-of-one vehicles, managed accounts, swaps or UCITS compliant structures.