We then take smaller satellite positions in higher risk – higher reward areas of the market, like smaller companies and emerging markets. That is our primary consideration and everything follows from there. Our approach is to maximize investment returns as opposed to assets under management. For each strategy, Polygon seeks to ensure compatibility of the underlying assets and strategy terms (e.g. We believe diversification is the most efficient way of controlling risk and employ a core satellite approach to create a liquid, low volatility combination of stocks, bonds and alternative strategies.We are a global fund management company whose goal is to provide customized investment solutions for individual investors and smaller institutions. Polygon Investment Management We are a global fund management company whose goal is to provide customized investment solutions for individual investors and smaller institutions.
*Authorised and Regulated by the Financial Conduct Authority. more for polygon investment management limited (04599192) Registered office address Geoffrey Martin & Co, 15 Westferry Circus, Canary Wharf, London, E14 4HD
POLYGON INVESTMENT MANAGEMENT LIMITED Reg. We believe this hybrid approach fits well with our core satellite strategy and allows Polygon to combine the best of both worlds—low-cost market exposure to efficient markets, combined with the use of best-of-breed managers with the potential to outperform in inefficient markets.Polygon’s investment process is driven by asset allocation and geographic diversification in order to achieve the optimal combination of risk and reward. We believe we are in the business of maximizing investment returns, rather than building AUM. Polygon is owned by TFG Asset Management. Polygon Investment Management | 41 followers on LinkedIn | A multistrategy platform focused on the creation of investment alpha. Discrete investment opportunities carefully structured and managed by expertsTo truly understand Polygon’s strategies, you have to consider our motivation. These market segments tend to be more volatile, so, to control risk, we limit exposure to a small portion of the overall portfolio. Our goal is the creation of investment alpha based on a disciplined, repeatable, research-driven process. We believe that smaller is better in fund management and do not seek to be the largest firm, but the firm that adds the most value per unit of risk.Polygon prides itself on transparency and on putting its clients’ interests first. LinkedIn Polygon Investment Management in Moses Lake, WA Polygon is owned by TFG Asset Management. We are compensated on a fee-only basis and place a great deal of emphasis on understanding our clients’ objectives, liquidity needs and tolerance for risk. liquidity and capacity) and alignment of our investors’ interests with our own.
Polygon is a global investment firm founded in 2002. *Authorised and Regulated by the Financial Conduct AuthorityPolygon is a global investment firm founded in 2002. Service is a priority and, like our portfolio management strategies, we seek to tailor it to meet the specific needs of each client.While each portfolio is tailored to client preferences and risk parameters, we generally invest the bulk of our assets in a long-term, strategic core designed to provide low cost exposure to global markets. Our focus is concentrated on structural alpha, the bedrock of opportunity on which strategy is built. Polygon manages the core positions internally but often uses specialist external managers and closed-end funds to gain exposure to smaller, less efficient markets where we may have less expertise.