Strategic Growth
Through Investment Funds
At Tiger Macro Global, we specialize in global macroeconomic investing, leveraging deep fundamental research and dynamic risk management to capitalize on opportunities across global markets. Our strategy focuses on identifying macroeconomic trends—such as interest rate cycles, geopolitical shifts, and monetary policies—that drive asset prices across currencies, fixed income, equities, and commodities. Guided by disciplined analysis and a global perspective, we seek to generate consistent, risk-adjusted returns for our investors. Our experienced team combines top-down macroeconomic insights with tactical execution, aiming to navigate complex market environments and preserve capital while pursuing alpha across varying economic regimes.
About our company
Our investment philosophy centers on a top-down, macroeconomic approach, targeting global imbalances and policy shifts. We combine fundamental research with data-driven insights to identify asymmetric risk-reward opportunities. Flexibility across asset classes and geographies allows us to adapt to changing market dynamics while prioritizing risk management and capital preservation.
We maintain a robust transparency policy, providing investors with regular, detailed reporting, clear communication, and insight into portfolio positioning, risk exposure, and performance to foster trust and accountability.