Protecting Tomorrow
Tolou Capital Management is a leading global macro hedge fund that specializes in risk optimization and generating real positive returns in any market environment.
Our Fund
Established in 2019, Tolou Capital Management implements a global macro, market neutral approach to navigate diverse market conditions. This is achieved through strategic investments in uncorrelated asset classes, spanning global equities, sovereign debt, gold, industrial commodities, currencies, and cryptocurrencies.
73
AUM
202
Cumulative Return
9.7
Standard Deviation
Optimizing Returns in Evolving Markets
We are a driving force for consistent, superior long-term risk adjusted returns in global macro investing. Through meticulously crafted, innovative strategies, we navigate complex markets.
News & Insights
We offer our insights on the market and the most recent updates from the company.
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