Founded in 2000, GTI is committed to generating sustained long-term capital appreciation for its investors. We take a risk-aware approach, meticulously building a dynamic portfolio across asset classes and geographic regions. We believe this method offers the potential for growth while mitigating exposure and taking advantage of market volatility.
GTI employs a dynamic, adaptive and risk-aware investment strategy, maintaining a diversified portfolio that spans stocks, commodities, bonds, and other asset classes.
Our asset allocation approach is designed to capitalize on potential market opportunities while taking into account global macroeconomic developments. A cross-discipline team of experts conducts ongoing market analysis using economic, mathematical, geopolitical, and technical tools, which also incorporate behavioral insights that account for the human factors that influence market dynamics. This broad perspective helps us contextualize market trends and adjust our trading strategy accordingly.
© G.T.I. Global Investments Ltd.
© G.T.I. Global Investments Ltd.
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