Welcome to City Fund Management

From the very beginning of the company until the present day, City Fund Management Ltd. (CFM) and its very experienced and traditional management team, have distinguished themselves from others by passionately believing in the notion that high returns are not necessarily indicative of a sound investments.

Our modus operandi has developed over time into a well established pattern of achieving conservative returns which attain their risk adjusted quality through unique management control. The market dislocations that occurred during 2007 and 2008 have only served to highlight CFM's durability during such times, and its paramount objective of capital preservation.

Solid risk adjusted returns and capital protection are the paramount concerns of all CFM products. CFM believes that the shorter the time frame of the trade, the more commensurate it is with better risk adjusted returns.

CFM's multi-strategy and multi-trader style with short term discretionary bias, is complemented by intraday risk monitoring within which correlations are tracked between strategies.


Why choose cfm?

  • Trader Selection
  • Strong Risk Management
  • Investment Process
  • Infrastructure
  • Key Person Contact
  • Total Transparency
  • Consistent Track Record