We offer a selection of investment strategies that trade the most liquid financial instruments across major exchanges and money markets around the globe: we focus on currencies, equities, government bonds and commodities in the spot and derivatives markets. They operate around the clock and their investment horizon is short to medium-term, allowing from maximized portfolio liquidity and dynamic risk mitigation.
Our systematic strategies are deployed in two different “versions”: the Absolute Return and Vanilla return profiles. Quite simply, the difference between these profiles is that the Absolute Return version applies a simple, yearly reinvestment of profits at the end of each 12-month period while the Vanilla version never reinvests any yearly profits, which are available to be withdrawn or reallocated elsewhere.