Polaris Capital Management
  • HOME
  • INVESTMENT APPROACH
  • TEAM
  • CONTACT
  • BLOG
  • We run a number of orthogonal, absolute return, quantitative trading strategies across futures, ETFs, FX and options. 
  • We trade only highly liquid exchange traded instruments and offer daily liquidity to our customers without any nasty features like lock up periods. 
  • Since we trade only highly liquid instruments we don't have capacity constraints in our strategies and market impact cost is negligible.
  • To insure 100% transparency we currently offer only investments through separately managed accounts. 
  • All our positions are marked to market independently by our prime broker and investors can monitor their positions in real time. 
  • Our investments of a substantial proportion of the total net worths indicate a clear alignment of interest with any potential investor alongside the strength of our belief in the strategies we trade. 
  • Our investment process is entirely systematic and based on proprietary developed models that identify trends and mean reversions in financial markets. 
  • The focus is on selecting strategies that offer consistency in returns.
  • We also insist on having economic intuition for why our models performed in the past and may be expected to continue to do so over the long term.
  • Our objective is to deliver high risk-adjusted returns with low correlation to traditional asset classes. 
  ©2024 Polaris Capital Management Sarl

The material contained in this web site does not constitute an offer for sale. This communication is not intended as and is not to be taken as an offer or solicitation with respect to the purchase or sale of any security or interest, nor does it constitute an offer or solicitation in any jurisdiction, including those in which such an offer or solicitation is not authorised or to any person to whom it is unlawful to make such a solicitation or offer. Past performance is not an indication of future performance.