Investing Services

Investing Services

Service Overview

We take an active and multi-dimensional approach to portfolio management, seeking non-correlated risk exposures through risk management in an effort to minimize volatility and maximize return.

The investment team establishes a top-down view of macroeconomic and geopolitical conditions in order to help identify market opportunities, set strategy performance forecasts, and determine strategic and tactical portfolio weightings.

Risk management is attentive to anticipated performance of fund investments given the hedge fund strategy employed.

We seek to actively shift investment exposures to opportunity sets where we believe the greatest risk/ reward potential exists.