Trium Capital is a liquid alternatives asset manager specialising in launching and accelerating funds in partnership with carefully selected portfolio managers.
Trium is dedicated to achieving the best possible risk-adjusted returns for its investors, and believes that Responsible Investment (“RI”) and Environmental, Social and Governance (“ESG”) are important factors to consider when delivering this.
Our experienced teams manage a suite of alternative strategies, carefully selected to suit a wide set of investment objectives.
Our range includes:
Systematic, fundamental and quantamental
Directional and market neutral strategies
Equity, credit and futures strategies
Many of these strategies are available in multiple formats / vehicles and may be customised to suit your requirements.
For more information select a strategy below:
Trium Alternative Growth
Toby Hayes
A UCITS Fund which uses strategies, uncorrelated to equity markets, sourced from across the asset class spectrum to provide capital growth, independent of equity market cycles and macroeconomic environments.
A Low Beta Systematic Equity Long/Short UCITS Fund which, through its highly objective stock selection process, seeks to harvest alpha by tilting its exposure to nine stock selection criteria.
A Discretionary Equity Long/Short Market Neutral UCITS Fund that aims to generate positive environmental outcomes and alpha with reduced exposure to market volatility.
A Discretionary Equity Long/Short Market Neutral, factor aware ESG UCITS strategy, targeting the high-emitting sectors to combat global warming while seeking uncorrelated absolute returns.
A Strategy focused on Equity Catalysts such as IPOs or Spin-offs, seeking to generate asymmetric returns by capitalising on overlooked investment opportunities.