Independent View

Independent View (“IV”) is an investment management company that was founded in 2012. Based in the Netherlands, it provides investment management services to professional investors. IV’s philosophy is that positive returns can be achieved through genuine diversification, particularly in times of elevated market volatility. We believe that, by way of collaboration and innovation, we are able to provide our investors with an authentic alternative risk profile. The key pillar to IV’s strategy is tail-risk protection: a positive expected return the moment that market volatility spikes unexpectedly.

IV Quantitative Futures Fund

We aim to generate positive absolute returns in all market conditions with low correlation to individual asset classes. We have a quantitative and systematic investment approach, investing in exchange traded futures with holding periods between days and weeks. We systematically combine three dynamic strategies: momentum, volatility and term structure. The sub-strategies trade global markets and have a low correlation to each other.