Many of our strategies are hard-to-access through traditional structures, providing a unique set of exposures that tend to be uncorrelated to both one another and the broader markets.
We emphasize collaboration and cross-pollination of ideas across strategies. We foster cooperation and innovation across our investment teams to maximize efficiency and creativity.
Our investment teams seek to achieve attractive risk adjusted performance by recognizing market inefficiencies and undervalued investment opportunities, while maintaining a focus on risk management and capital preservation. A multi-tiered, iterative risk management system, comprised of internal and external risk management, is designed to navigate through various market cycles. Investment teams have direct access to Senior
Management in order to facilitate fluid decision making in rapidly changing markets.