Our Expertise

We pride ourselves on our craftsmanship and ability to perform under varying market conditions

Strategies

Crisis Equity Hedge

This strategy seeks high returns while simultaneously hedging risk assets in clients’ portfolios against potentially large losses associated with financial crises.

OBJECTIVE

We take both Long and Short positions across 50+ financial markets globally to drive portfolio returns and hedge against potentially catastrophic declines in risk assets such as global equities during financial crises.

ADVANTAGE

This strategy generates returns under normal market conditions by avoiding the negative carry from put options and acts as a risk-asset hedge during major market declines by exploiting cross-asset correlations.