Palomar Capital is a London-based systematic hedge fund operating a managed futures strategy. The firm operates a systematic quantitative futures strategy with a track record of stable positive returns with low volatility and a low correlation to hedge fund and market benchmarks.
ABOUT PALOMAR CAPITAL
Palomar Capital seeks to generate absolute returns with low volatility and a low correlation to both hedge fund and market benchmarks.
The firm employs a systematic quantitative futures strategy and focuses research on, and trades only in, highly liquid, developed-market futures contracts.
They focus on leveraged and management buyouts, minority recapitalizations, and growth financing.
Palomar’s strategy is driven by statistically significant anomalies and price behaviors that recur over time, enabling us to produce consistent performance across market conditions.