Global macro fund
MGIM is a Systematic Global Macro Registered Investment Advisor, providing exceptional transparency and superior risk adjusted returns through a small team of highly qualified individuals.
The Fund identifies opportunities in both rising and falling market environments with a robust risk management approach, targeting returns that are not closely correlated to the traditional asset classes.
2022

Founding Year

>20%

Annualized Return

0.0

S&P 500 Correlation

>3.0

Sharpe Ratio

Plant growing from coins

Investment Objective

Target returns that are not closely correlated to the traditional asset classes and to have a multi-factor, multi-market, and multi-timeframe approach that is designed to deliver superior risk adjusted returns.

We offer a comprehensive, one-stop solution for portfolio diversification, providing clients with real-time access to their investment accounts (through Separately Managed Accounts), critical insights and resources.

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