QCM

QCM is a UK hedge fund manager.  For the past 27 years we have provided investment management services to actively manage client assets.  Our client portfolios benefit from targeted non-correlated absolute returns. We generate such returns by the use of our proprietary model-based strategies developed over decades of knowledge and market experience.    

Alternative investments display properties that are complementary to investments in other asset classes.  By combining these with portfolios of stocks or bonds, investors can enhance their wealth-building process while lowering risk.

QCM’s quantitative models are applied systematically, thus offering a disciplined process, applied with consistency.  We avoid skewing our decisions by emotional or cognitive biases.  The flagship QCM Systematic Global Macro Programme (‘SMP’) is a managed portfolio of liquid futures that trades equities, fixed income, currencies, and commodities. The product seeks to profit both from rising as well as falling market prices. 

In its long history, QCM has partnered worldwide with investment institutions, fund of funds, family offices and high net worths seeking to enhance their wealth through its strategies. The objective is to deliver for investors the best long run risk-adjusted returns.