Our Asset Managers
We partner with asset managers that offer niche investment strategies that enable investors diversification and the opportunity to improve the risk-return of their portfolio. Our our managers are unique in their own way and have entrusted us to represent their product suite to our investors.
Arcus Investment
Japanese Equities
Founded in 1998, Arcus Investment’s abiding ethos is to deliver superior returns through disciplined and active investment in undervalued equities. With over $1.7bn of funds under management, Arcus offer a range of long only and long-short strategies whose sole focus is Japan.
Its flagship Arcus Japan Fund is an actively-managed long-only UCITS fund with assets of c.$1.4bn. It has an excellent 18-year track record, both over the longer term as well as more recently, due to a consistent approach and philosophy with co-founder Mark Pearson alongside Ben Williams.
OHV Institutional Asset Management
Fixed Income Asset Management, Brokerage, Consultancy
OIAM managers funds and mandates through its label Fresh Funds and is part of the independent Dutch institutional fixed income broker OHV. The company traces its origins back to 1932 and is active in execution only bond trading, government backed loans, export financing, SME lending, and asset management. OHV works with government institutions, insurance companies, pension funds, corporates, foundations, family offices and HWNI's.
Hashdex Asset Management
Digital Assets
Founded in 2018, Hashdex is recognized as one of the leading asset managers in the digital assets space. With almost $1 billion AuM it helps innovative investors join the emerging crypto economy in a simple, secure and regulated way.
In 2021 it partnered with Nasdaq to develop the Nasdaq Crypto Index (NCI) and introduce the world's first crypto index ETF. In Europe, HASH has become the largest exchange traded multi-asset crypto product with private banks, institutional investors, wealth managers and family office across the continent using Hashdex investment products as their preferred digital assets exposure.
Fortem Capital
Liquid Alternatives Specialist
Fortem Capital specialises in cost-effective, daily liquid alternatives strategies adding diversification to your portfolio.
Established in 2016, Fortem is regulated by the FCA and offers specific risk-return strategies based on a building block approach: income, beta, diversifiers & protection and risk management.
Founded and owned by a team of derivatives specialists based in London, the firm works closely with large wealth managers and private banks.
Altana
Niche asymmetric risk-return co-investments funds
Altana seeks distinctive investment strategies with low correlation to public markets, leveraging a competitive edge in niche, un-loved, or inefficient markets.
Established in 2010 and regulated by the FCA and CCAF, Altana offers funds with unique asymmetric risk-return profiles. Examples are digital currency alternative debt, distressed debt, spac arbitrage and carbon credits.
Founded by veteran hedge fund manager Lee Robinson, the team of ~30 specialists manage money for HNWIs, wealth managers, fund of funds and family offices.
Alphabee
Multi-Strategy, Multi-Manager Funds
Diversify your alternatives with this 'liquid' uncorrelated fund of hedge funds to protect & grow your assets. It targets absolute returns, no beta with equities and bonds, low volatility (2-3%) and relatively high liquidity.
Established in 2017 and regulated by CSSF in Luxembourg, Alphabee actively selects and monitors hedge funds within a strictly defined risk framework.
Alphabee consist of a team with decades of experience researching hedge funds and manage money for the founding single-family office and external investors.