• AddressNobelstraat 2, 3512 EN Utrecht, Netherlands
  • Emailflorininvestments01@gmail.com
  • +1 (724) 672-7510

Hedge Fund Strategies

FlorinInvestments allocates a portion of its portfolio to select hedge fund strategies that have demonstrated consistent risk-adjusted returns over multiple market cycles. These allocations provide diversification beyond our core trading activities.

We focus on long/short equity, global macro, and event-driven strategies managed by vetted external fund managers with minimum 5-year track records and audited performance.

  • Long/short equity — global developed markets
  • Global macro — interest rates, commodities, currencies
  • Event-driven — mergers, spin-offs, restructurings
  • Quantitative — systematic trend following

View Investment Plans