Since foundation in 2004, Sequoian Financial Group developed a market niche in financial risk expertise through multiple channels, including consulting services, risk-management derivatives*, risk-protection hedge funds and an internet blog (www.sequoian.com). So far, our most successful products have been:
-Systemic Risk Averse Funds SPC Ltd. developed and managed by Sequoian Asset Management and Sequoian Investment Management, is tasked with increasing any investment portfolio’s capital preservation during peak volatility events.
-Venezuelan Domestic Debt Fund Ltd. (VDDF) provided currency risk-exposure reduction and/or elimination to the subsidiaries of multinational companies in Latin countries.
*Financial derivatives, such as options, futures, forwards, swaps or their multiple combinations.