Uncovering and Seizing Market Opportunities

Our Approach

Direct funding towards the most impactful and attractive investments globally, by utilising our team's expertise, cutting-edge technology, analytical capabilities, and global reach.

Five approaches.

United by a single goal.

oil rig
oil rig
The bank of ornate classical columns and facade
The bank of ornate classical columns and facade
white red and green map
white red and green map

Preservation & Growth

Commodities

We are a leading alternative investment manager in the commodities markets, our investments are based on our thorough comprehension of commodity market fundamentals. We implement our investment views through financial derivatives, physical supply and offtake, and financing.

Aligned Capital

Credit & Convertibles

We are a major investment manager in the corporate credit markets. From 2020 to 2022, we doubled our investment team, added six new strategies, and invested significantly in research and technology. The main products we trade are corporate bonds, convertible bonds, preferreds, hybrids, credit and equity derivatives, bank loans, and Collateralised Loan Obligations (CLOs).

Macro Driven

Global Fixed Income & Macro

Our main areas of focus include rates (such as interest rate swaps, sovereign bonds, and inflation), currencies, emerging markets, equities, commodities, and credit. We use a combination of macro and relative value strategies, informed by quantitative modelling, a thorough understanding of macroeconomics, and a nuanced perspective on monetary policy.

A business section of a newspaper with stock market charts and financial data
A business section of a newspaper with stock market charts and financial data
boy in front of computer monitor
boy in front of computer monitor

Long Term Growth

Equities

Our strategy for investing is based on extensive research and financial analysis. We gather extensive information to make informed and data-driven decisions. We constantly seek new insights and data sources, and have established strong connections with the management of the companies we invest in.

Built on Numbers

Global Quantitative

GQ is a leading and rapidly expanding quantitative trading team. Utilising our own research, data, and technology, we create and implement algorithmic strategies in the areas of Equities, Futures, Fixed Income, and Currency products.

Our Methodology

Institutional Grade Governance

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Mandate Alignment

Strategic Allocation

Active Oversight

Reporting & Review

Defining precise objectives and risk parameters in close consultation with our portfolio managers and analysts

Constructing multi-asset portfolios with disciplined allocation, optimising for long-term preservation and growth.

Continuous monitoring, rebalancing, and stress-testing against evolving market conditions and client needs.

Transparent, detailed reporting and regular risk reviews to ensure ongoing alignment and performance.