Bevon Thomas is an global macro hedge fund manager, headquartered in New York, that specializes in superior risk mitigating solutions.
Bevon Thomas is dedicated to a single investment strategy with a clear objective: safeguarding and growing capital for institutional investors who rely on us to fulfill their commitments to stakeholders.
Our disciplined approach to fixed income relative value investing, coupled with our unwavering integrity, has garnered the trust of investors and counterparties through various market cycles. We take this responsibility seriously and strive to meet it with the highest ethical standard.
The fixed-income relative value strategy at Bevon Thomas aims to capture opportunities in geopolitical and policy disparities across both developed and emerging markets.
Risk management is at the core of everything Bevon Thomas does for its investors – Highly reliable and efficient hedging strategies are designed to protect against dislocations in asset markets. Both hard to measure and misunderstood, correlation risk across diversified portfolios is an area of particular interest for Bevon Thomas.
By combining the perspectives of the discretionary manager with the analytical rigor of a systemic approach, we foster a diversity of expertise and opinions that are the foundation of our investment process. A process driven by a analytical precision, discipline, and responsible thinking.
As agnostic value investors in volatility, Bevon Thomas undertakes extensive research across regions in fixed income and foreign exchange globally for investment opportunities, with primary focus on the interest rate product markets.
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