We seek competitive returns and look out for mispriced assets across the whole financial landscape. We thrive on delivering idiosyncratic and possibly uncorrelated returns. Robust financial analysis combined with stringent risk management and trading expertise aiming at achieving consistent alpha generation is of utmost priority to us.
The investment world is presently confronted with turbulences last seen more than a decade ago. Soaring inflation, presently rising interest rates and the reality check on artificially created investment trends are all too present. The end of the area of free money i.e. low resp. inexistent interest rates in most of the industrialized countries has implications throughout all asset classes. The current mispricingof assets creates investment opportunities for those who are willing and able to abandon the conviction towards long only strategies.