Pi is an absolute return macro volatility hedge fund focused primarily on currencies, stocks and other asset classes.

Relying on fundamental and mathematical analysis as well as the fund manager’s 29 years of experience trading these types of assets, the fund is able to identify and capitalize on pricing discrepancies that occur in these markets.

Our investor’s base consists of institutional, family offices and high-net-worth investors.


We view risk-management as a fundamental tool in structuring each trade as well as our entire portfolio rather than merely an overlay to the portfolio. A conservative approach to risk assessment and management is at the core of the fund’s activities.

The perpetual development of screening and pricing models allows the investment team to continually take advantage of market inefficiencies.