【Announcement of New Investment Strategy】

We have introduced an innovative quantitative strategy product in Asian emerging markets. This strategy integrates macroeconomic analysis with advanced algorithms and specializes in capturing regional structural growth opportunities. Please contact us for details.

Announcement Date: March 1, 2025

ab-ani-01.png
ab-ani-01.png

Service Introduction

【Global Macro Strategy】

Based on thorough macroeconomic research, we capture investment opportunities arising from economic cycles, policy changes, and price divergences across global markets. Ideal for institutional investors seeking stable returns over the medium to long term.

Minimum Investment: $660,000
【Quantitative Systematic Strategy】

Using our proprietary algorithmic models, we capture price anomalies and market inefficiencies across multiple markets and timeframes. Trading decisions are made entirely by quantitative systems, eliminating emotional bias.

Minimum Investment: $330,000
【Multi-Asset Alpha Strategy】

Through a combination of low-correlation strategies, we integrate diverse approaches such as relative value, event-driven, and trend-following to provide absolute returns in any market environment.

Minimum Investment: $530,000
【Inflation Hedge Strategy】

We provide asset preservation in inflationary environments through portfolios specializing in real assets, inflation-linked securities, and related derivatives.

Minimum Investment: $200,000
【Risk Parity Allocation】

Using an asset allocation model based on equal risk contribution, we optimize traditional 60/40 portfolios, significantly reducing volatility while maintaining equivalent return expectations.

Minimum Investment: $330,000
【Solutions for Institutional Investors】

We provide customized investment solutions for financial institutions, corporate pensions, and family offices, tailored to specific risk preferences and investment objectives. Includes asset allocation advisory services.

Minimum Investment: $2,000,000
map
map

Investment Performance

【5-Year Annualized Returns of Key Strategies】

  • Global Macro Strategy: 11.2% (Volatility: 8.4%)
  • Quantitative System Strategy: 9.7% (Volatility: 7.2%)
  • Multi-Asset Alpha Strategy: 8.5% (Volatility: 5.3%)
  • Risk Parity Allocation: 7.8% (Volatility: 4.6%)

※Past performance does not guarantee future results. Investments involve the risk of principal loss.

img

For Clients

【Outrider Glenview Intelligent Investment Platform】

Providing your daily investment management:

  • Real-time portfolio monitoring/performance analysis
  • Detailed position reports and risk management
  • Market trend reports and strategic insights
  • Multi-financial account management function
map
map

Company Overview

Outrider Glenview Macro Fund was established in 2025 and manages assets. An exceptional team of professionals has come together, including 18 investment specialists.

 

「We are confident in our ability to provide clients with long-term and sustainable excess returns through thorough research and a disciplined, systematic investment approach」

Contact Us

If you have questions about investment products or are interested in partnering with us, please contact our specialist team anytime.