Coleman Group is an alternative investment firm headquartered in London. We offer single & multi-manager hedge fund solutions to professional and institutional investors.
The firm's core objective is to deliver strong risk-adjusted returns & portfolio diversification for our global client base.
Our key principals possess extensive trading & risk management experience, & these skills are used to identify Portfolio Managers with high trading acumen and a strong risk culture.
We recognise different clients have different investment goals.
The firm is structured to offer bespoke investment solutions tailored to an investors’ risk & return objectives.
The Coleman Multi-Strategy Fund SPC, a Cayman based hedge fund, is our group’s flagship investment vehicle, launched August 2021.
We also run Segregated Managed Accounts for clients seeking tailored single manager or multi-manager solutions.
Our investment philosophy emphasises liquidity, diversification and a strong risk discipline. While money management involves risk-taking, limiting drawdowns is key to compounding wealth over time.
At Coleman we believe in a dynamic exposure management approach, with flexibility to run net long or net short as market conditions fluctuate.
Our Portfolio Managers possess a risk discipline which seeks to reduce risk quickly during periods of adverse performance and/or exogenous market shocks.