Drawing on the lessons of 2007-2008, from both the buy and sell-side perspective, Logiic operates several funds based on the following principles, which in our experience have enabled us to deliver market-beating profitability on a volatility-adjusted basis relative to global benchmarks.
All Logiic fund managers adhere to a strict code of conduct that prioritises client trading over own book activity. We will always endeavour to put client profitability over all other considerations.
The various macro and quantitative strategies that Logiic deploys are all expressed solely via the most liquid, publicly traded securities in the world.
The savvy trader is now presented with even greater volumes of trade flow data which can be capitalized on effectively using the latest algorithms running on machine-learning platforms.