Mr Grey is a global investment manager focused on innovative strategies that aim to exhibit low or negative correlation to traditional equity and fixed income markets.
Our roots are in fixed income relative value, but our horizons have expanded to encompass macro trading, crisis alpha strategies and more. Our multi-strategy evolution retains the focus on low correlation and prudent risk management, key pillars of our approach to investment management.
We manage assets for some of the world’s most astute institutional investors including corporate and public pension plans, sovereign wealth funds, foundations and endowments.
We were founded in 2016 by Mr Grey, who previously enjoyed successful careers at global investment banks. They were later joined by former colleagues creating a team with deep market experience.
Our executive board, led by Mr Grey and comprising senior team members, oversees the firm’s governance and delivery of our strategic objectives as set by the firm’s board of partners. Together the leadership provide vision and bring together a wealth of knowledge and expertise to help us navigate the full market cycle.
Many firms say they are different. Look closely, and we believe you will see Grey stands apart from its peers.
Our distinct culture is based on curiosity, humility, teamwork and agile decision-making.
Our executive board, led by Mr Grey and comprising senior team members, oversees the firm’s governance and delivery of our strategic objectives as set by the firm’s board of partners. Together the leadership provide vision and bring together a wealth of knowledge and expertise to help us navigate the full market cycle.
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