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Our objective is to be a leading provider of liquid, high-alpha investment strategies across a diversified range of asset classes and geographies.

Markets remain sensitive to the influence of political as much as economic decisions and we continue to see spikes in volatility. This creates a difficult environment for trend following strategies and the risk on/risk off environment means that investor sentiment remains fragile.

In light of this challenging backdrop we are focusing on the things we can control as set out in our four strategic priorities:


Deliver strong risk adjusted long term investment performance

Achieve industry-leading risk-adjusted performance across a wide range of liquid investment strategies.


Focus on generating high-alpha investment opportunities

Develop high-alpha investment products and restructure existing products to appeal to a broader client base.


Ensure distribution effectiveness

Reorienting the distribution effort to reflect the increasing demand from institutional channels and away, in particular, from guaranteed products.


Cost reduction

Our key focus is implementing our cost saving programmes and running the business as efficiently as possible.

Maintain balance sheet efficiency

As the mix of our business changes away from guaranteed products we will continue to focus on maximising the efficiency of our balance sheet.
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