Asset management firm for HNWI’s and institutional investors.
Institutional-Quality
Institutional-Quality Emerging Managers Access
Powered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talentPowered by ultra-diversified strategies and exceptional trading talent
Features
Niche and Uncorrelated Investment Strategies.
As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.
Coinvestment Opportunities
As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.
Global Network
As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.
Aligned Interests
As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.
Diversification Across Multiple Asset Classes
Benefits
Coinvestment Opportunities
As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.
Coinvestment Opportunities
As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.
Coinvestment Opportunities
As a benchmark, our systems must have a Calmar Ratio of at least 3:1, with a focus on achieving an average of 5.5:1.
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