Active Asset Management builds portfolios of low-correlation return streams across global markets.
We combine specialist investment strategies within a common portfolio construction and risk framework, dynamically allocating capital as opportunities and market conditions evolve. Risk is managed at both the strategy and portfolio level, with the objective of generating attractive returns while controlling drawdowns and concentration.
We are agnostic to where investment edge originates. Where we have proprietary capability, we invest directly. Where specialist teams bring differentiated expertise, we partner with them. Every strategy is evaluated within the same portfolio construction and risk framework.
Our investment platform
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For trading teams
We partner with specialist trading teams and provide the capital, distribution and institutional infrastructure required to scale.
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