
Commingled Solutions
Our commingled solutions are designed for wealth managers, with minimums starting at approximately USD 10,000 for AMCs and USD 100,000 for funds. At Crossbow Partners AG, we advise our partners on a range of multi-manager strategies tailored to specific investment objectives.
Daily Liquid - Alpha Strategy- CHF
CHF
5.57%
5.06%
Volatility p.a.
Global Multi-Strategy AMC
Generates diversified, uncorrelated returns by allocating across specialized hedge fund strategies including global macro, market neutral, event driven, and arbitrage, focusing on stability and downside protection.
Return p.a.
Daily Liquid - Alpha Strategy- CHF
CHF
4.54%
6.12%
Volatility p.a.
Global Equity AMC
Targets attractive risk-adjusted returns through a diversified global long/short equity approach, investing in specialized managers across regions and sectors, while focusing on capital preservation and lower volatility.
Return p.a.
Alpha Strategy - Fixed Income Complements
CHF
2.47%
3.42%
Volatility p.a.
Liquid Alpha AMC
Targets steady, positive CHF returns with market-neutral, highly liquid, currency-hedged alternative funds. Returns stem from diversified, uncorrelated strategies like relative value, macro, and equity long/short.
Return p.a.
Alpha Strategy - Fixed Income Complements
USD
3.91%
4.87%
Volatility p.a.
Global Trading AMC
Aims for Libor +3-5% annual returns with low correlation to equities and fixed income, investing in macro trading strategies like Global Macro and CTA/Managed Futures across asset classes.
Return p.a.
Alpha Strategy - Fixed Income Complements
EUR
3.60%
3.20%
Volatility p.a.
Equity Arbitrage AMC
Seeks steady EUR returns through market-neutral arbitrage, strategically profiting from price discrepancies across global markets while maintaining near zero net exposure.
Return p.a.
Alpha Strategy - Fixed Income Complements
USD
4.02%
8.78%
Volatility p.a.
LHEDGE Fund
Leo Multi-Manager Core Hedge Fund ("LHEDGE") is a private multi-manager fund that allocates across global hedge fund managers seeking high risk adjusted returns, with low volatility.
Return p.a.
Portfolio Diversifiers
USD
5.62%
11.94%
Volatility p.a.
Global Commodity AMC
Generates uncorrelated risk-adjusted returns by leveraging supply-demand imbalances, seasonality, and substitution effects, investing in commodity hedge funds with directional or relative value strategies.
Return p.a.
Portfolio Diversifiers
USD
5.65%
11.30%
Volatility p.a.
Global Commodity II AMC
Generates uncorrelated risk-adjusted returns by leveraging supply-demand imbalances, seasonality, and substitution effects, investing in commodity hedge funds with directional or relative value strategies.
Return p.a.
Portfolio Diversifiers
USD, CHF
5.64%
11.71%
Volatility p.a.
OC Global Commodity
Generates uncorrelated risk-adjusted returns by leveraging supply-demand imbalances, seasonality, and substitution effects, investing in commodity hedge funds with directional or relative value strategies.
Return p.a.
Portfolio Diversifiers
USD
60.71%
18.60%
Volatility p.a.
Digital Asset AMC
Focuses on long-term digital asset growth, investing in hedge funds with discretionary or systematic strategies across tokens and cryptocurrencies, from venture-style to market-neutral positions.
Return p.a.
Portfolio Diversifiers
USD
12.73%
20.18%
Volatility p.a.
Digital Alpha AMC
Targets strong, uncorrelated returns from digital asset growth, using moderate-risk strategies like relative value and market-neutral positions across tokens and cryptocurrencies, while providing downside protection.
Return p.a.
Portfolio Diversifiers
USD
12.64%
18.24%
Volatility p.a.
Digital Alpha II AMC
Targets strong, uncorrelated returns from digital asset growth, using moderate-risk strategies like relative value and market-neutral positions across tokens and cryptocurrencies, while providing downside protection.
Return p.a.
Equity Themes - Equity Complements
EUR
5.93%
7.59%
Volatility p.a.
Energy Transition AMC
Aims to outperform MSCI World indices with lower volatility, investing in long/short managers in renewable energy and utilities. Combines alpha and beta strategies with beta below 0.5, emphasizing stock picking.
Return p.a.
Equity Themes - Equity Complements
USD
6.29%
8.96%
Volatility p.a.
Greater China AMC
Aims to outperform MSCI Asia indices with lower volatility, investing in specialist China/Asia funds benefiting from structural growth and strong domestic demand, combining alpha and beta strategies.
Return p.a.

Your Strategy
tbd
y%
x%
Volatility p.a.
Your Solution
Provides a customizable investment strategy managed by specialists. Choose your focus: long/short equity, macro, arbitrage, commodities, digital assets, or thematic investing... We ensure execution and optimization.
Return p.a.
Return p.a. and Volatility p.a. will be updated on quarterly basis.
The returns of the AMCs have been live since the date indicated on the relevant factsheet. Prior to that, performance was simulated based on a hypothetical portfolio of AMC managers. All returns are net of fees and denominated in USD. The information on this page is for informational purposes only and does not constitute investment advice. Past performance is not indicative of or a guarantee for future results.



