A Regime Neutral Multi-Strategy Approach
Building wealth that transcends generations.
A Regime Neutral Multi-Strategy Approach
Building wealth that transcends generations.
Building wealth that transcends generations.
Building wealth that transcends generations.
A multi-asset multi-strategy approach that diversifies by market regime; equally weighting its strategy allocation across the four market regimes: Inflation, Deflation, Growth and Decline.
Empirically proven to outperform a 100% global equity portfolio on a risk adjusted and total return basis over the long run.
The Regime Neutral Multi-strategy operates across the full spectrum of liquid assets and investment strategies (min. daily priced/liquid) providing greater transparency, no lock-ins, and access to your returns when you need it.
Our strategy is based on published academics that have stood the test of time. Our strategy has been tested over 50 years of market conditions delivering market beating returns on both a risk adjusted and total return basis.
Our Multi-strategy approach is designed with drawdown protection at its heart providing the peace of mind & smoother investment profile without the need to compromising on long term total returns offered by market tracking strategies. Lower Risk / Greater Reward.
IDGD Capital's empirically proven strategy targets long-term outperformance on a risk adjusted and total returns basis when compared to global equity markets whilst investing 100% in a daily priced liquid multi-asset investment universe. Past performance is not an accurate guide of future returns.
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