ThirdYear Capital is an independent and specialized provider of macro strategy/portfolios. TYC offers three products/services: i) research, ii) advisory, and iii) a concept for strategy implementation. The leadership team has experience at leading alternative asset managers.
The investment approach is based on systematic and countercyclical investing in liquid asset classes. TYC has an established research and performance track record. Since inception, the annualized return target of 10-15% has consistently been achieved with a volatility below 10%. Positive performance has come from long and short positions across all asset classes.
Institutional clients like fund managers, family offices and pension funds use the strategy as an independent input to their investment process and to get access to an attractive absolute return profile.






