Strategic Market Coverage Across Asset Classes

Summr deploys systematic, data-driven strategies across U.S. equities, digital assets, global macro, and alternative markets to capture inefficiencies and enhance portfolio performance.

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U.S. Equities

We apply systematic, data-driven models to identify market inefficiencies, sector rotations, and behavioral trends across large-, mid-, and small-cap equities within the U.S. market.

Cryptocurrency

We analyze on-chain data, liquidity flows, and market sentiment across leading digital assets such as BTC, ETH, SOL, and XMR, dynamically managing exposure to reflect evolving digital market structures.

Global Macro

We monitor macroeconomic indicators, interest-rate differentials, and global capital flows to assess regime changes and market relationships across currencies, commodities, and equity indices.

Alternative Assets

We explore uncorrelated opportunities within precious metals, digital yield markets, and other alternative exposures designed to complement traditional asset allocation and enhance diversification.

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Markets Covered

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U.S. Equities

We deploy adaptive, data-driven strategies across U.S. equity markets, capturing inefficiencies through systematic long/short models that align with institutional precision.

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Crypto

Our digital-asset strategies leverage AI-driven dispersion modeling to identify momentum, volatility, and cross-asset correlation opportunities within global crypto markets.

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Global Macro

We analyze macroeconomic signals and market regimes worldwide to dynamically position across equities, currencies, commodities, and rates for optimal risk-adjusted returns.

Alternative investments including commodities and diversified portfolio

Alternative Assets

We provide exposure to uncorrelated alternative markets—ranging from commodities to digital yield vehicles—enhancing diversification and stability across portfolio cycles.