March was defined by a sharp escalation in geopolitical tensions, particularly involving the U.S., Israel, and Iran, creating a highly challenging environment for most investment strategies. The resulting risk-off episodes, heightened energy price volatility, and cross-asset dislocations proved difficult to navigate. However, Lynx Asset Management’s suite of systematic strategies delivered strong performance across the board.
Lynx Systematic Macro stood out with a return of 14.7 percent, whil...
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