Neutral, unbiased and independent view on existing and potential hedge fund investments.
Create customized hedge fund allocation for each client.

​Help enhancing the standard level of transparency provided by managers

Fully in-house managed proprietary database

Focus on a holistic risk understanding: qualitative, quantitative, operational and macro

When possible, negotiate the best liquidity terms for clients.
Favour liquid strategies and avoid liquidity mismatches. 

All-in fee

Define clear exit strategies
for each investment proposal

INVESTOR’S INTEREST 
AS A PRIORITY

ENHANCED 
TRANSPARENCY

PROPRIETARY 
DATABASE

​DYNAMIC RISK  ASSESSMENT

LIQUIDITY

COST-EFFICIENCY​

EXIT​