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Portfolio Management

We are active portfolio managers
. The Attalus Capital portfolio construction and monitoring process focuses on maximizing risk adjusted return. We continually evaluate global economic and market conditions to determine hedge fund strategy and sub-strategy opportunities. We apply this research to insightfully structure well balanced portfolios with strong consistent performance. We strategically allocate across hedge fund strategies to capitalize on longer term trends and tactically rebalance as shorter term opportunities are uncovered. This process of adjusting weightings monthly proactively reduces the risk and increase the return of our portfolios.