Our investment approach is global and scalable. We trade liquid instruments in all major asset classes and regions. We invest in regulated markets where we believe prices reflect the information available to millions of market participants.
We look at price dynamics to take positions rather than relying on any hypothetical “fundamental valuation” of markets. Using statistics and mathematics we identify the direction in which market forces drive asset prices and measure underlying uncertainties.
Metori combines the best ideas from academic research with empirical data analysis. We implement strategies that have sound statistical and economical foundations, which can be cross-validated over multiple time horizons and asset classes.
Metori’s investment process is systematic, meaning that positions and portfolio construction are generated by a model and implemented systematically. Our approach allows to remove arbitrary and emotional bias from investment decisions.
98 Olden Lane
Princeton NJ 08540
9 rue de la Paix,
75002 Paris,
France
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