Teiko Asset Management is a distinguished AIFM (Alternative Investment Fund Manager) registered with the CSSF under number A00003177, headquartered in the financial hub of Luxembourg.
Our operational team comprises seasoned professionals boasting over 15 years of expertise in the realm of asset management, with a steadfast focus on risk management. Our overarching goal is to deliver compelling returns on both our proprietary and traded capital.
At the core of our portfolio offerings stands the Teiko Global Equity FX Fund, a highly liquid Hedge Fund employing a three-pronged investment approach spanning equities, currencies, and liquidity. While formally established in 2020 as a fund, the underlying strategy has, under the stewardship of the same portfolio manager, consistently delivered an average annual return exceeding 20% since its systematic inception in 2006.
Our fund caters to High Net Worth Individuals (HNW), Ultra-High Net Worth Individuals (UHNWI), Family Offices, and Institutional clients, with a minimum investment threshold of €150,000.
Our investment philosophy centers on meticulous risk management and the harmonious fusion of equity and currency markets, with the MSCI World serving as our reference index—a universal benchmark recognized for its representation of a diverse cross-section of global markets.
We are committed to remaining at the forefront of innovation, harnessing the power of the most advanced AI and Machine Learning tools to continually enhance our trading strategy.
If you are intrigued to explore the Teiko Global Equity & FX Fund further, we invite you to reach out. It would be our privilege to provide you with a deeper insight into our services and solutions.