Our approach leverages a deliberate design: distinct yet integrated businesses investing across asset classes and regions, on a unified platform.
Markets-Oriented
We are focused on harvesting the most attractive market opportunities, leveraging our investment leaders’ sell-side and buy-side experience and seeking to identify and capture alpha in a repeatable way.
Shared Risk Discipline
A culture of risk management is embedded throughout the firm — we view everybody as a risk manager. We partner closely with our risk takers to strengthen processes and enhance the durability of both individuals and the firm’s aggregate portfolio.
Intentional Architecture
Each business is integral to our firm, providing scale and diversification — a foundation that attracts world-class talent seeking organizational stability and intellectual engagement.
Investment Businesses
We are a team of markets specialists seeking to capitalize on research-driven viewpoints and structural opportunities, informed by a sophisticated view of what creates mismatches in pricing and liquidity.
Combines deep fundamental research, sector expertise and process-driven portfolio construction in an effort to identify and extract consistent risk-adjusted returns across global equity markets.
Applies multi-asset class strategies to capture opportunities created by macroeconomic trends, policy shifts and market dislocations across global rates and macro markets.
Capitalizes on pricing dislocations around corporate actions and market events — including index rebalances, M&A, regulatory shifts, litigation, primary offerings and restructurings — through a rigorous, research-driven approach.
Invests across the credit spectrum using fundamental underwriting, relative-value and capital-structure insights and differentiated capital-markets sourcing, including select bank partnerships, while emphasizing capital preservation.
Combines analytics with dynamic trading capabilities, including for both financial and physical commodities, to capitalize on locational spreads, time spreads, volatility, congestion and cross-commodity and product relative value dynamics.
Designs and implements advanced quantitative strategies across global equities, futures and FX to identify and capture opportunities across diverse markets and time horizons.
Leverages deep regional specialization and global resources to take advantage of Asia’s rapidly transforming investment landscape, deploying a spectrum of strategies for potential alpha generation.
At Jain Global, you’re part of a firm built for collaboration.
By replacing silos with shared expertise, we’ve built a system where leaders invest in the growth of their teams, with mentorship and learning woven directly into the work.
We partner with investment teams to source and evaluate opportunity sets while fostering an environment where talented individuals expand their impact within the firm.
We believe good risk management is not just defensive, it’s about better understanding risk to make more informed, disciplined investments. We actively seek to attract people aligned to this way of thinking.
The combination of investment leadership, risk capabilities and modern technology is designed to allow us to partner with investment teams to manage volatility and help improve durability of investment processes.
Core Infrastructure Platform
Our cross-asset platform operates firm-wide with resourcing designed to enhance efficiency, decision-making and operational leverage.
Participant-Designed Resourcing
Architected around the nuances of each of our strategies, our systems are directly informed by our investment team members.
Sophisticated Technology from Inception
Data-driven analytics and methodologies enable streamlined workflows, risk alignment and consistent data and tools, driving a more efficient investment process for our risk takers.
Integrated to Reduce Complexity
Our platform capabilities seek to reduce operational complexity allowing our teams to focus on what matters most: thinking strategically about what’s ahead and driving outcomes.