Strategic Europe Quality Capital is a global investment manager dedicated to pioneering strategies designed to deliver low or negative correlation with traditional equity and fixed income markets.
Originally rooted in Contracts for Difference and minimal exposure internationally, our expertise has grown to include macro trading, crisis alpha strategies, and beyond. Our multi-strategy evolution remains anchored in our core principles of low correlation and disciplined risk management, which form the foundation of our investment philosophy.
We proudly manage assets for some of the world’s most discerning institutional investors, including corporate and public pension plans, foundations, and endowments.
What We Do
Founded in 2019, we specialize in a wide range of investments with a global reach. Our experienced team leverages deep market insights to drive success across all implemented strategies.
Our executive board oversees the firm’s governance and the delivery of our strategic objectives as set by the firm’s board of partners. Together, the leadership provides vision and combines a wealth of knowledge and expertise to help us navigate the full market cycle.
While many firms claim uniqueness, a closer examination reveals our true distinction from competitors.
Our distinctive culture is rooted in curiosity, humility, collaboration, and agile decision-making.
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