Credo We believe that any portfolio benefits from systematic returns. We make systematic returns intuitively understandable and become essential to our investors' success. How and Why J8 Capital Management (“J8”) was founded on 13th January 2012 in London. We offer highly liquid, diversified, uncorrelated and cost-efficient systematic investment solutions. They focus on portfolio protection, attractive risk-adjusted returns and superior diversification benefits. Our solutions are derived from empirical observations and fundamental economic rationale. Our systematic investment process reduces behavioural bias as well as operational risk. We gain investment confidence through rigorous research, scientific strategy development and testing with long data histories. Responsible Investment / ESG J8 is a signatory of the United Nations Principles for Responsible Investment (UNPRI) and we incorporate environmental, social, and governance (ESG) factors in the investment strategy and process.
Assets under management in USD
Per asset class: