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Antiloop Hedge uses a multi strategy approach including global macro, long/short equity, tactical asset allocation and short-term trading strategies. The main objective is to manage a diversified portfolio of strategies across different asset classes, time frames and methodologies where each strategy has a low correlation to stocks, bonds, other managers and each other. Antiloop also has a particular focus on precious metals and commodities as we believe these markets will play a significant role in well-diversified portfolios going forward.

Each strategy is making use of a unique methodology, described in more detail in the strategy section. Risk and correlation are closely monitored for each strategy as well as the overall portfolio.