Hotline

 +49 69 - 979 445 60

Investment approach

TRYCON applies an entirely systematic and quantitative approach to investment management, with the aim of delivering high-quality and diversifying sources of return for our clients' portfolios.

The paramount objective of our products is a pronounced decorrelation with traditional asset classes as well as with commodities and hedge funds - and particularly so during turbulent markets cycles. To this end, a wide diversification into many different, liquid markets and asset classes is employed. These markets are then traded with primarily trend following long and short strategies across different time frames.

TRYCON's absolute return funds share a high degree of liquidity, regulation and transparency with one of our funds complying with the UCITS-III standard. Another important feature is the abdiction of structured products in the implementation of our trading strategies.

We are highly committed to the continuous, research-driven evolution of our trading strategies.