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New Scandinavian Macro Hedge Fund Launching
December 1st!
…and you can start the onboarding now!
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Andreas Steno and Asgard Asset Management launch an AI-supported Macro Hedge Fund, using cutting-edge technology for advanced market insights to stay ahead of key market shifts.
Find out how you can invest right here
ASGM PERFORMANCE HISTORY (%) – YTD: 13,39% – Since inception (MAY 2023): 23,80%*
*Returns are partially based on Steno’s management of its own capital and an external mandate, with the strategy evolving over the past 15-18 months, making direct comparison difficult; past performance does not guarantee future results.*
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Why Asgard-Steno Global Macro ?
At Asgard-Steno Global Macro, our foundation is a discretionary macro strategy grounded in a powerful AI-supported and quantitative framework, built from years of macroeconomic research and trading expertise. We combine the agility of human decision-making with the precision of AI models to uncover lucrative opportunities in global markets. By analyzing extensive economic data, trends, and geopolitical factors, our system provides a valuable time advantage, enabling quick and accurate trades before market shifts are fully reflected. This fusion of human insight with a proven quantitative approach allows us to seize macro opportunities with both speed and precision.
High Monthly Liquidity
Enter and exit monthly—no fees or gates
Expected Returns Between 10-15% p.a.*
*Depending on the degree of risk budget utilization.
Strong Risk Management
Robust Risk Management By our top-tier team of long time industry professionals
Leading Global Macro Research
Based on LEADING Global Macro Research by Andreas Steno and his Team
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Vision
Our vision is to become the global leader in systematic macroeconomic investing, utilizing cutting-edge technology, proprietary models, and diversified strategies. We aim to consistently anticipate market trends, delivering stable and superior returns for our investors, while upholding our commitment to innovation, transparency, and rigorous risk management.
Method
We utilize advanced technology and proprietary macro models to achieve strong returns with minimal drawdowns. At the heart of our approach is nowcasting, which tracks real-time shifts in critical macroeconomic indicators such as growth, liquidity, and inflation. These insights fuel our two primary strategies: Macro Trend and Macro Value. We strategically invest across currencies, interest rates, equities, and commodities to capitalize on market inefficiencies. Our fund is further bolstered by the acclaimed Risk Premia strategy, developed by Asgard Asset Management.
Risk management is central to our process, with strict protocols in place to control tail risks and mitigate the impact of extreme market events. Our goal is to consistently deliver absolute returns while prioritizing capital preservation and liquidity across all market cycles.
The fund is supervised by CBI (“Central Bank of Ireland”) and the investment manager by the Danish FSA (“Finanstilsynet”).
Investing in the fund is made pursuant to the Prospectus and Supplements, which should be read carefully and in their entirety.
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Meet The Team
Andreas Steno
Chief Investment Officer
Claus Hornsleth
Chief Portfolio Manager
Alex Mealor
Chief Technology Officer
Christina Sehested
Chief Risk Manager
Mikkel Rosenvold
Chief Operating Officer
(Distributor)
Mads Nielsen
Chief Quant Strategist
Christoffer Riiber
Head of Investor Relations
(Distributor)
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Contact Us
If you have any questions, please do not hesitate to reach out to us.
Distributor
Steno Global Macro Invest ApS
info@stenoglobalmacro.com
Address
Nyropsgade 14, St
1602 Copenhagen V
Denmark
Opening Hours
Mon-Fri: 8am – 4pm CET