ALCES ASSET FUND is a regulated hedge fund applying proprietary strategies designed to deliver sustainable growth while prioritizing capital preservation and disciplined risk management.
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Strategic Insight: market analysis / macro-informed decision-making.
Disciplined Execution: Strategies grounded in quantitative precision.
Built on Trust: Transparent processes, regulatory compliance, and long-term vision.
Risk Control: Capital protection through institutional-grade custody.
Performance Focus: Designed to deliver consistent alpha while preserving equity.
Globally recognized custodian segregated accounts
Access to non-volatile
investment instruments
In-Depth Due Diligence for Investment Decisions
Stocks with strong potential to outperform market averages.
Solid earnings, dividends, and long-term value.
Hedging instrument to reduce exposure to risk.
Low-risk instrument. Short-term vs. goverment debt obligation.
OTC Financial Instruments only available to financial institutions.
Corporate debt from companies with high corporate credit rating.
Corporate loans with mortgage guarantees.
Hybrid instruments with tailored risk and income.
Early-stage financing and strategic capital planning.
ALCES multi-strategy fund combines a wide array of uncorrelated strategies to enable the fund to generate profit in any type of market.
Explore multi-strategyPositions are supported and controlled with options hedging, based on strict criteria that allows the positions to be closed, minimizing risk.
Explore Risk Management