Convex Strategies
Convex Strategies is a specialist manager focused on volatility, tail-risk, and risk-mitigation solutions.
Website or institutional source
- Volatility and derivatives hedge fund manager
- Volatility & Derivatives Hedge Funds
- Tier II
Overview
Convex Strategies is a specialist manager focused on volatility, tail-risk, and risk-mitigation solutions. Its approach uses derivatives and asymmetric structures to address portfolio vulnerability to large market moves and changing correlation regimes.
The firm adds important Asia-Pacific representation to a category concentrated in the United States and United Kingdom. Convex Strategies fits Tier II because of its direct strategy alignment, institutional orientation, and sustained focus on convex portfolio outcomes. Within The Economy Wiki, the institution is connected to the Volatility & Derivatives Hedge Funds category.
Firm facts
| Institution | Convex Strategies |
| Type | Volatility and derivatives hedge fund manager |
| Headquarters | Singapore |
| Founded | 2011 |
| Primary ranking focus | Volatility & Derivatives Hedge Funds |
| Highest 2026 tier | Tier II |
Activities and investment capabilities
Convex Strategies is active in options, convexity, derivatives relative value and portfolio protection. Its category-specific capabilities are summarized below.
Core capability
options, convexity, derivatives relative value and portfolio protection
Institutional relevance
Capabilities are assessed for professional investors, investment organizations, counterparties or hedge-fund operating teams.
Risk and execution
The profile considers research quality, implementation, governance, resilience and category-specific operating requirements.
Strategy and market coverage
Strategy and workflow coverage
options, convexity, derivatives relative value and portfolio protection
Institutional context
Coverage reflects the institution’s role in hedge-fund investment, data, trading, financing, risk or operational workflows.
Market position
The firm adds important Asia-Pacific representation to a category concentrated in the United States and United Kingdom. Convex Strategies fits Tier II because of its direct strategy alignment, institutional orientation, and sustained focus on convex portfolio outcomes.
Convex Strategies is assessed within the Volatility & Derivatives Hedge Funds framework. For wider market context, see Family Office Private Markets Are Becoming an Access Business.
Competitive context
Convex Strategies is recognized Tier II in Top 30 Volatility & Derivatives Hedge Funds 2026. The rankings compare institutions by category relevance, investment or operating capability, research depth, risk and execution quality, institutional credibility and current activity. Comparable links support navigation and do not imply identical mandates, products or counterparties.
Leadership and governance
Leadership, investment-committee composition, product ownership and operating resources may change over time. Current information should be confirmed through the institution’s website or public institutional source.
| Leadership area | Current source |
|---|---|
| Leadership and governance | Current institutional information |
Corporate and public information
This profile refers to Convex Strategies as the public-facing institution or platform. Individual funds, advisers, broker-dealers, banks, administrators, data businesses and regulated affiliates may use separate legal names across jurisdictions.
Corporate and disclosure information
| Organization | Convex Strategies |
| Headquarters | Singapore |
| Public source | convex-strategies.com |
| Profile basis | Public institutional information and Capital Ranking editorial research |
Ranking recognition
Related Economy analysis
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- Family Office Private Markets Are Becoming an Access Business
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