OUR PRODUCTS

We Manage Multi-Strategy Hedge Funds that Invest for the Longer Term

 Our funds seek to optimize the balance between Carry and Convexity with low correlation to markets. We aim to profit from Carry when markets are stable and from Convexity when markets are volatile. In addition, short to mid-term macro overlays help to manage risks and/or supplement returns.

 Research and Risk Management – A multi-disciplinary team of analysts cover global macro, company fundamentals, and quantitative analysis. Our expertise extends to modelling and quantifying the risk inherent in complex financial instruments including Additional Tier 1s, convertible bonds, hybrid credit, and various volatility securities.

Industry Recognition – Our multi-asset products have won several performance awards since launch in 2009.

 Please contact us at clientrelations@caygan.com if you wish to know more.

 Supporting Startup Initiatives. We have channelled our profits from Caygan to private companies tackling climate change and key social problems through innovative and high growth solutions. Investment Highlights

List of Invested Companies

 Please contact us at clientrelations@caygan.com if you wish to know more.