ABN AMRO Clearing announced five alternative investment finalists to compete in the AIF Factor 2017 competition

19 Mar 2017 – Five alternative investment funds have been selected, by a jury panel to compete in The AIF Factor, organised by ABN Amro Clearing. All finalists had to do a 3 minutes pitch to present their strategy and then delegates voted to elect the “AIF Factor Winner for 2017”.

MarkhamRae to grow their Distribution team

21 Nov 2016 – MarkhamRae to grow their Distribution team due to their expanding client base and success of their investment strategies. MarkhamRae is pleased to announce that Peter Davies has joined our Distribution team. During his time at Man Group, Peter was joint head of GLG’s investment marketing team. Read more...

Trade Finance: Brexit Update

05 Jul 2016 – The MarkhamRae Trade Finance strategy continues to be a much needed strategy for European banks in order to support their trade finance operations.  We are working closely with the banks for the benefit of their clients, shareholder and regulators. We are currently reaching out to our key Read more...

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Our Awards

MarkhamRae are proud to have been shortlisted/ won for the following awards:

Winner: Best Fixed Income Manager | HFM European Performance Awards 2016

HFM_Euro_Performance_logo.jpgMarkhamRae are delighted to have won 'Best Fixed Income Manager' for our 'Discretionary Macro Fixed Income Fund' at the HFM European Performance Awards on Thursday 21st April in London. Read more...


Highly Commended: Macro Over $500m | HFM European Performance Awards 2016

HFM_Euro_Performance_logo.jpgMarkham Rae are delighted to have to be highly commended in the Macro over $500m category for our 'Discretionary Macro Fixed Income Fund' at the HFM European Performance Awards on Thursday 21st April in London. Read more...

Key points

Discretionary Macro

Low correlation to equity and fixed income asset classes providing an uncorrelated return to traditional assets.
Focus on absolute return: capital preservation is at the heart of what we do.
Experienced team with long tenure.

Systematic Macro

Diversification – low correlation to traditional asset classes.
Innovative cross-fertilisation of techniques to profit both from trend and reversion factors.
Highly experienced team with a long history of collaboration.

Tactical Fixed-Income Relative Value

Low volatility and highly liquid.
No credit and duration neutral.
Significant negative correlation to traditional fixed income.