Alphadyne Asset Management
Investment Management, 1 Financial CTR, Boston, New York, 02111, United States, 51-200 Employees
Phone Number: 21********
Who is ALPHADYNE ASSET MANAGEMENT
Alphadyne Asset Management is an alternative investment management firm led by founding member and Chief Investment Officer Philippe Khuong-Huu. Investors include pension funds, insurance...
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- Headquarters: 1 Financial CTR, Boston, New York, 02111, United States
- Date Founded: 2005
- Employees: 51-200
- Revenue: $25 Million to $50 Million
- Active Tech Stack: See technologies
Industry: Investment Management
SIC Code: 6282 | NAICS Code: 523940 | Show More
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Frequently Asked Questions Regarding Alphadyne Asset Management
Answer: Alphadyne Asset Management's headquarters are located at 1 Financial CTR, Boston, New York, 02111, United States
Answer: Alphadyne Asset Management's phone number is 21********
Answer: Alphadyne Asset Management's official website is https://adyne.com
Answer: Alphadyne Asset Management's revenue is $25 Million to $50 Million
Answer: Alphadyne Asset Management's SIC: 6282
Answer: Alphadyne Asset Management's NAICS: 523940
Answer: Alphadyne Asset Management has 51-200 employees
Answer: Alphadyne Asset Management is in Investment Management
Answer: Alphadyne Asset Management contact info: Phone number: 21******** Website: https://adyne.com
Answer: Alphadyne Asset Management is an alternative investment management firm led by founding member and Chief Investment Officer Philippe Khuong-Huu. Investors include pension funds, insurance companies, asset managers, investment consultants and sovereign wealth funds. Alphadyne, launched in 2005, has offices in New York, London and Tokyo. Alphadyne pursues macro and fixed income relative value investment strategies in global interest rate, foreign exchange, equity, commodity and credit markets. Investments are made in both developed and emerging market countries. The firms activity is weighted to interest rate and foreign exchange markets and to execution via swaps, futures, options and cash instruments. Alphadyne seeks to generate superior risk-adjusted returns with low correlations to the main asset classes.
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