Broadridge Alternative Investments Ltd. (“Broadridge”) is a global macro-focused proprietary trading firm delivering uncorrelated, asymmetric returns through data-driven, high-conviction strategies. We leverage advanced analytics and a deep understanding of macroeconomic dynamics to uncover opportunities ahead of market consensus. With a commitment to rigorous risk management and exceptional returns, we enable investors to thrive in any market environment.
Broadridge is currently managing over $3,000,000 in AUM, providing alternative investment solutions to retail investors, HNWI, small and medium-sized businesses, and other investors.
Our commitment to performance and personalized service is reflected in our 100% investor retention, demonstrating long-term trust and satisfaction.
With coverage across North America, Europe, and Asia, we bring the world’s most promising opportunities to our investors. Our global macro strategy thrives across 30+ countries, leveraging unparalleled market insight across these regions.
Your time is valuable, and you deserve an investment partner that helps you focus on what matters – your growth, your future and your success. We specialize in navigating the global markets and managing volatility to help you generate unparalleled returns for your financial portfolio. With Broadridge, you not only gain a team that is committed to delivering excellence, but also long-term partners that you can count on to help build and preserve your wealth.
At Broadridge, we leverage strong technological precision and proprietary market data to stay ahead of current global macroeconomic trends.
Our disciplined risk management via volatility-adjusted sizing and tail-risk hedging reduces downside risk while maximizing returns.
We have unique opportunities for both retail and sophisticated investors with our customized investment offering.
At Broadridge, we leverage our proprietary macroeconomic research with rigorous risk management to deliver consistent, uncorrelated returns.
We deploy a global macro strategy by capitalizing on key macroeconomic trends and events that occur globally.
Our precise risk management techniques help us navigate drawdowns, ensuring your capital is managed effectively.
With innovative data and analytics, we optimize performance through advanced insights and decision-making.
At Broadridge, we deeply value transparency and clear communication with each of our investors, ensuring that everyone feels confident during each step of the way. Below, we have answered some of the most common questions you may have as an investor.
Broadridge focuses on deploying a global macro focused strategy to deliver outsized returns. We differentiate ourselves throughout the investment process from our accessible minimum cheque sizes, unique investor benefits, differentiated investment structure and downside protection.
At Broadridge, risk management is built into every layer of our investment process. We focus on portfolio diversification, disciplined position sizing, and maintaining a low correlation to traditional assets. By combining macro insight with tactical execution, we aim to stay flexible across market regimes while protecting capital. For individual investors, this approach not only helps preserve value through market cycles but also acts as a diversification and hedging instrument within their broader portfolios.
Our clients are typically high-net-worth individuals, or institutions that are seeking diversification through alternative investment opportunities for their individual investment portfolios.
Although past performance is not indicative of future returns, Broadridge focuses on delivering consistent returns across a long-term time horizon. Our strategy benefits from recurring and volatility-driven events across the world, allowing us to continuously pursue opportunities.