Convexitas aims to help families and institutions achieve their financial and lifestyle goals by offering stewards of capital portfolio-level tools to increase liquidity and flexibility. The company believes that liquidity in all market conditions is the chief concern for portfolio construction, resulting in more choices and executed opportunities. More than a manager, Convexitas provides tools that bring balance to your allocation process. Convexitas has built tail liquidity to address the portfolio construction challenges of the market-intervention era.
CONVEXITAS SOLUTIONS
Political Polarization
Monetary & Fiscal Policy Response
Financial Repression
CONVEXITAS APPROACH
Active Management: Risk over rules, Reliable results
Reporting & Operations: Transparent daily dashboards, Strong reconciliation & controls
Separate Account Implementation: Efficient funding, Tax advantaged
Commentary & Insights: Public general market commentary, Product specific commentary on views and decisions