LFIS is a Paris-based asset manager established in 2013. LFIS combines quantitative asset management and investment banking expertise to deliver innovative, award-winning alternative funds focused on premia and credit, multi-asset funds, and dedicated solutions. LFIS has $13 billion in assets under management as of August 30st 2019 and was named “Best Hedge Fund Group” in Europe by Hedge Funds Review as well as “Best Quant Manager” by Risk Magazine in 2018.
LFIS’ Premia Approach: In a context where most asset classes are expensive and offer little diversification, LFIS proposes a different approach. While remaining multi-asset, LFIS’ premia strategy invests in risk and style premia across these asset classes. The strategy has no structural, directional exposure to specific asset classes, and seeks to deliver robust risk adjusted returns and a strong Sharpe ratio across market cycles. LFIS is a leader in premia investing with $4.1 billion of assets under management in the strategy (as of August 30, 2019).