At AENAON Asset Management we look at markets through a different lens. For us, “the way things have always worked” is a blueprint for mediocrity, if not disaster.

So we innovated: we designed our investment methodology based on an alternative way of thinking from square one, from our proprietary Machine Learning algorithms to our automated risk management modules and our custom-built execution technology.

This alternative approach allows us to deliver exceptional risk-adjusted returns, completely uncorrelated to any traditional investment styles, and achieve a superior degree of diversification and risk mitigation.

GLOBAL INVESTMENT OUTLOOK

We capitalize on economic and geopolitical developments around the globe, ensuring no reliance to any regional markets’ performance or isolated local risks.

MULTI-ASSET APPROACH

We deploy strategies on a heterogenous mix of currency pairs, equities, indices, commodities and ETFs to maximize returns and minimize individual exposure.

UNCORRELATED PERFORMANCE

We achieve a return profile completely uncorrelated to any major markets, asset classes, investment styles or strategies.

BI-DIRECTIONAL BIAS

We navigate trends and themes across both rising and falling markets, and even in directionless environments.

INVESTMENT SOLUTIONS
We partner with institutional asset managers and private high net-worth investors to offer systematic managed accounts services and institutional-grade signal generation.

Investment Programs

We operate a selection of investment programs that trade the most liquid financial instruments across major exchanges and money markets around the globe: we trade currencies, equities, government bonds and commodities in the spot and derivatives markets. Our strategies trade around the clock and our investment horizon is short to medium-term, allowing from maximized portfolio liquidity and dynamic risk mitigation.

Our investment programs’ performance is verified by Deloitte in accordance with the International Standard on Assurance Engagements (ISAE) 3000 and our factsheets are produced by Fundpeak, a renowned provider of secure fund marketing tools.

Facts & Figures

3
Our algorithms scan across 3 different timeframes to identify all the statistically favorable trading opportunities
500
Our trading universe includes more than 500 different financial instruments across all our systematic strategies.
1000

We have more than 1,000 unique price patterns classified according to their statistical data in our database.

Latest Insights

Our Awards

GET IN TOUCH

Are you a Private Investor an Asset Allocator a Family Office Manager ?

Do you want to know more about our investment programs, our recent performance or how you can partner with AENAON Asset Management? Don’t hesitate to reach out to us and the appropriate member of our team will respond to your inquiry immediately.

+44 203 76 903 98

+30 210 5779 238

14-20 Vassileos Alexandrou, Peristeri, Athens, Greece

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    AENAON Asset Management is a technology-driven investment management company. For the past 10 years, we have been committed to disciplined systematic trading, investment research and system development.

    AENAON Asset Management operates as a Commodity Trading Advisor running a variety of Managed Futures programs. Our investment programs offer a portfolio management solution suitable to the key investment themes of our time: non-correlation, consistency and superior risk-adjusted returns.
    AENAON Asset Management
    14-20 Vassileos Alexandrou, Peristeri, Athens, Greece
    +30 210 5779 238
    +44 203 76 903 98
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