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It's time to take control of your money
Join Free next generation Investing

Explore how Quantitative Finance methods used by
Hedge Funds help you Build & Protect your Wealth


Manage your Investment Portfolio using AssetMacro Free Guidance and Tools

AssetMacro is a Free Do-It-Yourself Investing Software that helps you build and manage a diversified portfolio using asset allocation strategies. Asset Allocation Strategies are systematic and constantly monitor Global Markets and adapt to the current market conditions to preserve and grow your wealth.

How AssetMacro

Asset Allocation

Strategies Protect and Grow Your Capital

Excellent Performance

Excellent Performance

AssetMacro Open Source Portfolio generated an annual return of 10.26% with Less than half of the US Stock Market Risk? since 2006.

Low Risk

Low Risk

AssetMacro Open Source Portfolio avoided severe market crashes. During the 2008 Crash the portfolio gained 24% while the US Stock Market lost 46%.

Diversified Portfolio

Diversified Portfolio

AssetMacro Asset Allocation Strategies are diversified investing in various asset classes such as US Stocks, Bonds, Commodities, Real Estate & Cash.


Free Open Source Portfolio Generated Higher Returns than S&P 500 & the Average Hedge Fund (Barclays HF Index) with Less Risk


Asset Allocation

How AssetMacro Investing Platform Works

Clear Portfolio Analysis

Clear Portfolio Analysis

You get access to our Portfolios Current asset Allocation. We provide full analysis of how the portfolio is structured along with its past performance

Real-Time Alerts

Real-Time Alerts

AssetMacro Algorithms constantly monitor Global Markets and will notify you when your portfolio needs to be rebalanced

Save Time

Save Time & Money

Our Open Source Portfolio is Free. Moreover, the portfolios take only a few minutes per week to manage.


Take control of your wealth. Learn how to invest money using a professional fund management approach

This free guide addresses investors seeking how to invest money using a systematic approach to grow wealth consistently, with low risk and avoiding market crashes.



Basic investment principles

Assess an investment by taking into account its average returns, volatility, sharpe ratio and maximum drawdown. Build your wealth gradually, following rules-based strategies, building a diversified portfolio and avoiding losses.

Economy & Behaviour of Assets

The long-term economic & business cycles affect Stocks, Bonds, Commodities & FX in certain ways. Professional traders manage portfolios by monitoring different economic states and the performance of each asset given the current market state

Active Portfolio Management

Professional fund managers follow a systematic approach in analysing the markets. They combine 4 approaches: 1.Top Down approach, 2.Bottom Up approach, 3.Price Action and 4.Risk Management