Investment Product Recommendation Adapted to the Market Situation on a Monthly basis
Overview
Our investment philosophy is based on three core principles, built on decades of research and experience. By applying these principles, we seek to deliver sustainable, long-term value for our investors.
Fundamental Investing
We rely on sound economic theory and analysis to help us deliver long-term, repeatable results.
Systematically Applied
A disciplined methodology underlies everything we do. Our investment process, built over 20 years, is based on a continuous process of design, refine, test, repeat.
Thoughtfully Designed
In portfolio construction, risk management and trading, we seek additional value for our clients. Using both qualitative and quantitative tools, we’re meticulous in every detail of the investment process.
Risk Management
Our Risk Management team oversees all aspects of both financial and non-financial risks including Market and Liquidity Risk, Counterparty Risk, Model Risk, Operational Risk, and Technology Risk. The firm employs a robust Enterprise Risk framework, which provides for a strong governance structure and ensures independence in risk making decisions. We believe it’s important for Risk Management to interact closely with the Portfolio Management, Research, and Trading teams, working together in managing risk. Together, we aim to ensure that portfolios are manageable through sudden and severely adverse stress events.
Equities
For nearly two decades, our overall goal has been to build compelling and repeatable investments that are highly diversified across signals and regions, and within a risk-controlled framework. We apply this systematic approach across our strategies, catering to the widespread investment needs of our clients.
Single-Style
Multi-Style
Enhanced
Relaxed Constraint
3-Alpha
Alternatives
As a pioneer in alternative investing, Kaizen has a long track record of managing the complexities of these types of strategies. By investing long and short, and balancing exposure to factors and asset classes, our alternative strategies are built to seek returns in both up and down markets. We offer both absolute return strategies, which target zero exposure to traditional markets, either at all times, or on average; and total return strategies, which maintain some exposure to traditional markets.
Absolute Return
Absolute Return Strategy
Arbitrage Strategies
Credit Strategies
Equity Market Neutral
Global Macro
Hedge Fund Premia
Managed Futures
Opportunistic
Real Return
Style Premia
Volatility Strategies
Total Return
Diversified Growth Strategies
Long-Short Equity
Risk Parity
Multi-Strategy
Kaizen is a Global Investment Advisor dedicated to delivering results for our clients
At the nexus of economics, behavioral finance, data and technology, Kaizen’s evolution over two decades has been a continuous exploration of what drives markets and how it can be applied to client portfolios. Our culture of intellectual curiosity compels us to challenge the status quo, disrupt long-held beliefs and uncover new insights.
Thoughtfully Design of Investment Portfolios (on request)
In portfolio construction, risk management and trading, we seek additional value for our clients. Using both qualitative and quantitative tools, we’re meticulous in every detail of the investment process.
Our Research Process
Throughout our history, Kaizen has focused on building the best possible understanding of global economies and markets. These unique insights drive our innovative investment engine, deliver returns for our clients, and inform global economic policy.
On a mission to uncover timeless and universal investment principles, our unique meritocratic culture and cutting-edge technology allow us to systematize and compound our insights over time so that our collective understanding is greater than that of any individual.
As global macro-investment advice, we take a diversified approach spanning more than 150 different markets. With deep expertise in portfolio construction and risk management, we develop insights and design strategies to deliver value to our clients through any economic environment.
Mission, Vision and Values
Our mission is to create satisfied clients through professional excellence giving worldwide success and to be a leader in the creation, development and management of building, infrastructure, energy, water, services and investment advice; contributing actively to social wellbeing, sustainable development and the creation of value for our stakeholder groups.
Our vision is to meet the challenge of achieving sustainable development in all our business areas, so that the generations of today and the future will have a better life.
Our P.R.I.D.E. values:
Progress
Respect
Integrity
Drive
Excellence
Kaizen: Japanese word for “improvement”
Kaizen Properties focuses upon continuous improvement. Our philosophy aims not only to both the company and the people who work there are good today, but the company is driven by organizational tools to always look for better results.
Some Clients
Wealth Managers & Asset Managers:
Independent wealth managers, investment funds and hedge funds.
Pension Funds & Pension Plans:
Pension funds, municipal and professional pension funds and supplementary pension funds.
Banks:
Private banks, cooperative banking associations and savings banks.
Insurances:
Private and public insurance companies.
Family Offices:
Single-Family Offices and Multi-Family Offices.
Foundations & Non-profit Organizations:
Private and charitable foundations, foundation funds, non-profit organizations.