Investment Overview
Strategy Description
Jupiter provides access to a specialized global macro manager that has delivered an extremely long track record of stellar performance through all market crises trading in G7 developed global markets. Using a combination of discretionary quantitative investments strategies, the manager has delivered very strong risk-adjusted positive absolute rolling returns. Despite being volatile, the returns have displayed a very high degree of decorrelation with every market which underlines the opportunistic nature of the macro investments. The manager allocates its assets to the following three asset classes to capture opportunities: Fixed income, Relative Value Strategies in FX, and Market Neutral Quantitative Equity Strategies.