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Ferra Asset Management manages accounts on behalf of investors, seeking to deliver above average returns through a unique combination of fundamental analysis and quantitative models. Ferra tries to understand the external environment and within that seeks to identify short to medium term investment opportunities which are typically exploited using highly tradeable, low cost instruments.
Ferra invests in the traditional asset classes (stocks, bonds and cash) but also pursue opportunities in peripheral classes such as commodities and currencies, where risk is sometimes lower than in the traditional classes. Risk is managed actively and strategies often contain a statistical arbitrage flavour to guard against event or systemic risk. Portfolios may be geared, based on investor preferences, to further enhance returns.
Ferra understands that good performance can be eroded by excessive fees and has a very low fee structure.
Ferra is a licensed category II financial services provider, FSP37404.