Our expertise is the management of funds investing in market neutral strategies. In order to successfully execute these strategies we use investment and hedging instruments across several asset classes. In doing so we are able to achieve stable returns that consistently outperform on a risk adjusted basis.
Our fund strategies suit a broad range of investors due to the low correlation with other asset classes and consistent risk adjusted return profile. For this reason banks, insurance companies, pension funds, retirement plans, family offices as well as multi-asset-funds have sought our expertise in portfolio management. In addition to providing an attractive risk-return-profile it is paramount for us to meet the specific individual needs for investors in an environment of growing regulatory challenges.
Here you will find regularly updated information and analysis on the capital markets, the economic environment and the
legal and regulatory framework.
The XAIA Institute is research-oriented and provides market-relevant publications, which are written either by our own
employees or external experts.