ARNOVA Capital AG

Arnova is a multi-strategy asset manager focused on systematic and contrarian investing, using advanced mathematical modelling, data and risk analysis.

The founders invest their own capital alongside select private and institutional clients. Arnova’s investment strategies have evolved over more than twenty years. Over this period, it has built an outstanding track record.

Regulated as investment manager in Switzerland by OSFIN and FINMA under license number F01307027.

yellow-line2.png
 
 

Track Record

Arnova’s management team has an audited track record since 2003, producing consistent double-digit annual returns with a Sharpe ratio of 1.4 over 20 years.

yellow-line2.png