Convex Asset Management is a highly liquid multi-strategy private investment fund.
We bring over 25 years of deep experience and strive to provide our investors with returns that have a low correlation to the market while always being hedged for a crash. We are not a tail risk fund, we are an absolute return fund that also carries a market hedge.
Our multi-strategy approach is designed to work in concert with qualified investor portfolios. We can quantitatively show how we can decrease risk while adding value.
We bring the most sophisticated and scalable strategies from the proprietary trading world. We work with institutions to add alpha and to increase risk adjusted returns.
We work with investors to offer one-off customized solutions including risk mitigation, inflation hedging and tail risk.