Since the 90s, banks have been developing and offering indices. Most of these indices are optimizing market performance and provide good returns when the markets are doing well. However, in bearish markets these indices tend to perform poorly. As such, these indices bear a significant market risk.
Cirdan has been looking for ways to offer indices or strategies limiting market risk. We have built strategies whose asset classes range from equity to fixed-income, derivatives, commodities and currencies.
Cost effective as a passive investment but outperform the market as an active investment
Bespoke tailor-made solutions (currency, leverage, volatility target, fixed-coupons, etc.)
Listed on European Stock Exchanges (Frankfurt Stock Exchange and EuroTLX) with continuous liquidity (as a Certificate)