AVEIQ CAPITAL MANAGEMENT GROUP
 

INVESTMENTS
 
Capital Protection

Aveiq Capital pursues an improved absolute return through capital appreciation and pay with moderate volatility investing essentially in Global Emerging Markets securities and other products via: foreign exchange, local rates equity indices; corporate credits;  marketable, idiosyncratic occasion driven, distressed and extraordinary circumstances speculations, but which may also include equity. The Fund also seeks a functioning hedging policy of both unique risks and tail events.

STRATEGIES 
 
LONG
ONLY
 
GLOBAL
MACRO
 
QUANT
 
MID LONG/ SHORT
 
PORTFOLIOS
 
 

All portfolios aim to exploit market inefficiencies. We believe such inefficiencies arise because markets fail to accurately reflect macroeconomic and geopolitical factors. To successfully exploit asset mispricing, we integrate informed top-down views with rigorous bottom-up analysis.

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