Momentum Investing Redefined

A multi-strategy momentum fund driven by quantitative and fundamental evidence

VRG Asset Management leverages proprietary algorithms, machine learning, and decades of trading experience.

VRG Asset Management is a Multi-Strategy Momentum Fund, expertly blending quantitative and fundamental analyses to inform investment outcomes. Utilizing proprietary algorithms alongside extensive trading expertise, our fund has consistently delivered double-digit returns with minimal beta correlation, maintaining a high Sharpe ratio since inception.

Our proprietary Micro and Macro Economic Trading strategies effectively generate alpha across a broad spectrum of assets, including equities, global futures, bonds, foreign exchange, and commodities. By dynamically capturing market momentum and applying rigorous risk management protocols, VRG stands out for its robust, performance-driven investment approach.

At the core of VRG Asset Management is a team of seasoned professionals with over 50 years of experience who manage our advanced trading strategies and governance practices.

Advanced Financial Solutions: Our Tailored Offerings

  • Quantitative Trading Strategies

  • Discretionary Overlay

  • Sophisticated Trend Detection

  • Trading Experience

  • Machine Learning Technology

Our Differentiators

Strong Performance

Top quartile trading performance since inception with optimal sector and asset diversification

Proprietary Strategies

Proprietary algorithms generate signals that reduce risk while capturing momentum in real-time

  Proven Expertise   

50+ years of professional experience provides strong business development and corporate governance