Our Hedge Funds Platform
Stability And Performance
In Any Market
We are investing in hedge funds since 1996 and have the privileged access to hard closed managers and niche investments thanks to our global network
Our Hedge Funds Flagship
Our Product: Syz Capital Uncorrelated
Our flagship fund Syz Capital Uncorrelated aims at delivering positive returns in any given market conditions giving investors a real alternative to cash and fixed income investments.
Our Tailered Hedge Fund Strategies
Our Product: Tailor-made Advisory Mandates
Alternative investments are more than ever a way to diversify portfolios. We can create your own fund of funds in offshore or UCITS format with an advisory or discretionary service.
Expertise And Access
We have more than 20 years of experience in advising clients around the world on their bespoke hedge funds investments.
While hedge funds have always been part of Syz DNA, we enjoy excellent reputation thank to our longstanding relationships and networks. Our dedicated experts have long experience in investing in hedge funds, offering you privileged access to most hedge fund managers world wide.
We can also source special investments capacity in funds which are otherwise closed and are backed by strong internal research capabilities.
We invest in hedge funds ourselves for their upside potential and capital protection.
Our Product: White Labelling Solutions
Your brand, your product, your needs.
By aligning investment expectations and constraints and understanding the client’s financial situation, we are seeking diversification, decorrelation and capital growth. We determine the appropriate investment strategy and portfolio framework by deciding on asset classes, investment styles and strategies, assisted by quantitative models.
Selecting the appropriate asset allocation and instruments based on risk/return profile, liquidity, and scenario analysis and stress test.
Formalizing the investment policy statement based on the client’s investment situation, objectives, constraints and asset allocation limits and providing guidance for rebalancing and adjustment activities.
We enable partners to launch their own hedge fund strategies with institutional precision and full brand ownership.
Cédric Vuignier,
Portfolio Manager at Syz Capital
Our Crypto Hedge Fund Platform
Our Product: SyzCrest Digital Uncorrelated
Unlock the Alpha of Crypto With Our Strategy of Crypto Hedge Funds
Our innovative approach combines traditional investment expertise with advanced blockchain analysis, providing a robust framework for navigating the digital currency market. Explore how our unique strategies and comprehensive due diligence unlock new opportunities in crypto investments.
Key Advantages
We leverage our years as an allocator to hedge funds, and our partners’ years of crypto experience to deliver the most institutional alpha product focused on crypto as an asset class.
Our small selection of managers has been cherry picked from over 300 funds through a long process of Investment, Operational and Technical Due Diligence.
Our portfolio stands out as the largest European fund of crypto hedge funds focusing on market-neutral strategies.
Higher risk
adjusted returns
Opportunistic
potential
Capital
Protection
High Liquidity
Diversification
Access
Dynamic management of capital; can gain in both up and down markets
Geopolitical tensions, health crisis, lead to sustained volatility benefiting many strategies
Protects capital in down markets. Good risk/return profile
Certain alternative Strategies offer up to daily liquidity
Provides useful diversification in a global portfolio
Best in class strategies with long track records of success are hard to invest
Proven Performance
The Strategy covers allocations to Futures Basis Arbitrage, Volatility Arbitrage, Mean Reversion, Market Making and CTA amongst others. We provide monthly liquidity with no mismatched liquidity, and a target of 15% IRR across the full cycle.
1
15 months of track record
2
Volatility of 5.3%
3
Sharpe ratio
Sharpe ratio of approximately 2, highlighting our ability to deliver consistent returns with low volatility