Unleash the Power of Data with Manhattan Global Partners
STRATEGY
Our Hybrid Analysts Offer Strategic Insights for Better Outcomes
Our investment strategy is underpinned by thorough artificial intelligence market research, which incorporates fundamental, technical, economic, regulatory, qualitative, and quantitative analyses to construct active fund matrices. This gives us a competitive edge and advantage over other investment firms.
The primary objective is to yield significant returns by capitalizing on sectors with substantial addressable market sizes and substantial potential for growth. Upholding investor protection is integral to our operational framework, hence our emphasis on mitigating investment risks through deliberate diversification, and hedging strategies.
PRIVATE EQUITY STRATEGY
Manhattan Global Partners Investments Vehicles
We create a dynamic fund portfolio for optimal returns using proven market research techniques. Our approach integrates innovation and technology, focusing on high-potential sectors with expansive market opportunities within the lower middle marks.
At the core of our business model is investor protection, emphasizing strategic hedging strategies to mitigate risks.
Yield Farming
Efficient Balance Sheet
Provision of Liquidity to “Liquidity Pools”
Interest Rate Arbitrage
Borrowing and Lending
Funding Fee Arbitrage
Directional Algorithmic Trading
Market Neutral
Options Trading
Covered Call
Volatility Trading
Delta Neutral
Statistical Arbitrage
Long and Short Trading Strategies
Merger and Acquisition
leveraged buyout (LBO)
STRATEGY
Our Innovative Technology and Expertise Delivers Unmatched Analysis
MGP Funds Managers Have a Balanced Investment Approach by Incorporating the Following Strategies.
Our strategy is to leverage cutting-edge A.I technology and innovative entrepreneurial approaches to analyze market trends, identify opportunities and risks, to make data-driven investment decisions that maximize returns and minimize risk.
We continuously monitor and adapt to changing market conditions and regulations, maintain strong compliance and risk management practices, and collaborate with leading industry experts and partners to stay ahead of the curve.
Our high-level Investment Philosophy focuses on:
-
Economic Analysis, Technical Analysis, Fundamental Analysis, and Regulatory Analysis List item two.
-
Optimizing risk-adjusted returns and minimizing drawdowns by opportunistically allocating into proven trading/investment strategies.
-
Analyzing the volatility surfaces and determining the trading opportunities relevant to each proven trading/investment sub-strategy.Intrinsicly viral testing procedures with ideas.
-
We are combining fundamental blockchain analysis and Generative A.I technical indicators to minimize risk.
-
Continuously monitor and evaluate portfolio management or contingent liability transactions.
WHO WE ARE
Meet the Founders
“Only when the tide goes out do you discover who's been swimming naked.”
— Warren Buffet
SARAH SUAREZ
CEO
This is the space to introduce the business’s team and what makes it special.
MIKE DENG
VPE
This is the space to introduce the business’s team and what makes it special.
REAY FINIGAN
CTO
This is the space to introduce the business’s team and what makes it special.
THESIS
Thematic Regulated Investment Thesis