36 South are a leader in volatility and tail risk management, with a 16 year track record. They specialise in finding great value options that provide cheap convexity and positive asymmetry. The ability to find these options comes from the experience and expertise of their Investment Management Committee, which has 95+ years of combined experience in both options trading and market making.
36 South have expertise in investing in pan-asset class, global, long dated options. They specialise in finding positions which can provide portfolio benefits including convexity, diversification and yield, allowing them to prioritise a particular objective, for example tail risk protection or positive carry.