Atlington is an investment manager. Its founders, merged their expertise to create the company from 2016 onwards after long careers in London, New York, Singapore and Tokyo in the alternative investment industry on the portfolio management and strategy sides.
The philosophy is one of dynamic investment management with particular emphasis on liquidity and capital preservation. The approach blends macro and quantitative analysis in order to find asymmetrical opportunities within a strict risk management process constantly monitoring for adverse market conditions. These combined three steps allow to express views across the economic cycle in a way that maximises investment returns while minimising capital losses.
Atlington is independent and not aligned with any financial institution, enabling it to provide unbiased and unrestricted range of investments and advice.
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