We aim to deliver consistent absolute returns for our investors irrespective of the market environment. Rigorous analysis, disciplined risk management, and a dedication to the highest ethical standard underpin the Bevon Thomas reputation as a market leader.

The macro fixed risk and directional strategy at Bevon Thomas captures opportunities in global interest rate disparities, foreign exchange dislocations and sovereign debt instruments across developed and emerging markets.

Our strategy is designed to deliver consistent, positive returns through varying market cycles that are orthogonal to broader market returns.

We employ proprietary analysis to identify opportunities that can arise from:

  • Fragmentation among markets, such as interest rate futures and interest rate swaps
  • relative volatility in sovereign bonds
  • Divergent interest rate policies among monetary authorities