Rimar Capital Risk controlled Multi Asset Hedge fund
Today the only constant in the market is change. For this reason, our R&D team constantly analyses and checks the success of our existing algorithmic trading strategies. The results of the analysis lead us to either add, modify, or completely remove entire models. It’s not just a lack of success that makes us modify strategies. RIMAR handles position sizing dynamically according to the change in trends associated with underlying assets. RIMAR has set exceptionally high targets for itself to give clients the very best opportunities.