Skander Capital

◆ Asset Management

Our

Strategies

Scroll to explore

We do not seek mere market exposure — we seek conviction.

Every strategy at Skander is the product of exhaustive fundamental research, proprietary AI-driven analytics, and an absolute commitment to capital preservation. Built on the same methodology. Executed with the same rigour. Across every market cycle.

Active Strategies · Global Macro · Absolute Return

Conviction, structured.

Global Macro · Absolute Return

01
Active

Skander Issus Global

Absolute Return

FUND SP

A multi-geographic strategy designed to capture price dislocations across liquid global assets. Employing an Absolute Return framework, the strategy deploys Dynamic Hedging to manage tail-risk exposure and engineer consistent risk-adjusted returns across full market cycles.

StrategyGlobal — Americas, Europe & Asia
LiquidityHigh-Liquidity Assets
Risk ManagementStress Testing & Dynamic Scenario Analysis
02In Development

New Strategy

Skander

A new strategy currently in development — built on the same analytical foundation and conviction framework as our existing offering. Details available to pre-qualified institutional investors on request.

Reserved for select institutional investors

Institutional Edge

Rigor as

Standard.

Every strategy at Skander shares the same DNA — our principals' proprietary capital deployed side-by-side with investor capital. Alignment of interests is not a marketing claim. It is a structural commitment.

01

Skin in the game

Principals' proprietary capital co-invested alongside our investors' capital at all times. Alignment of interests is structural — built into every strategy from the ground up.

02

Proprietary AI tools, fully integrated

Technology is not a layer we added — it is what we are built on. Proprietary AI tools power real-time portfolio monitoring, order management, and quantitative analytics across every strategy. Continuously refined by the people who build them.

03

Full transparency

Detailed monthly performance attribution reports, investment letters, and complete historical drawdown data — available to all our investors. You always know where you stand.

04

Unconstrained by design

Unrestricted latitude to capture alpha wherever it exists — no geographic constraints, no asset class restrictions, no benchmark anchoring. Conviction, not convention, drives every decision.

Investor Relations

Ready to invest

with conviction?

Access detailed performance attribution reports, monthly investment letters, and complete historical drawdown data — following institutional verification. Speak with our team to begin the conversation.

We use essential cookies to run this site and, with your permission, analytics cookies to understand how it's used. You can accept, decline, or customize your choice at any time. Privacy Policy