Haidar Capital Management applies its unique approach to global macro investing by utilizing opportunistic trading strategies in addition to offering a high degree of liquidity to investors by investing in a wide range of liquid securities.
Haidar Capital Management continuously seeks to adapt to changing financial market conditions and bases its positioning on the firm’s global view of economic data, geopolitical risks, and fiscal and monetary policies. Investing in highly liquid securities affords the firm the flexibility to react quickly and capitalize on market opportunities as they present themselves.
Expertise & Infrastructure
A highly-qualified internal team is supported by world-class accounting, brokerage, legal and administrative firms.
Monthly investor performance reports and detailed, quarterly information on leverage utilization, gross and net positions by asset type, instrument type, and geographic region.
Alignment of Interests
Members of the internal team are invested in the firm’s funds.