Our Expertise

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

Strategies

Systematic Macro

This strategy aims to deliver high risk-adjusted returns by dynamically taking Long and Short positions across 50+ financial markets globally.

OBJECTIVE

We aim to monetize influential medium-to-long-term global macro events while achieving cost-minimized and option-like asymmetric payoff distributions.

ADVANTAGE

This strategy avoids stop-losses, which negatively impact portfolio performance as well as trading costs, by utilizing cross-asset correlations for hedging.