top of page

Asset Allocation
for Adaptive Markets

  • Trust, Confidence and Discretion

  • Wealth and Asset Management Professionalism

  • Quantitative Rigour

We exploit short-term market inefficiencies to increase returns without taking additional risks

What we offer

  • Returns uncorrelated with traditional investments

  • Diversification across industry sectors and regions

  • Adaptive allocation between fixed income and equity assets

  • Equity-like returns with low volatility and drawdowns

Anchor 1

Our Philosophy

At 7 East, we take a different approach. Our strategies are rooted in rigorous quantitative research and combined with the expertise of seasoned economic and financial professionals. We've spent years perfecting our proprietary optimization techniques, achieving robust estimators to improve asset allocation. What's more, our proprietary trend filters allow us to shift our strategies' exposure across different assets classes, offering high probabilities of success in any market condition.

We've developed a sophisticated yet simple approach to extract alphas from markets that discretionary-like funds have been struggling with. Our track record lies in our cutting-edge mathematical and statistical techniques, which allow us to uncover hidden signals in the market that others miss. As a result, our strategies consistently outperform most common indexes and benchmarks with almost uncorrelated returns.

bottom of page