Leibniz Group is a leading Multi-Strategy Multi-Manager Asset Management firm, celebrated for its innovative, systematic, and machine-learning-driven investment strategies. Guided by a cadre of seasoned professionals, our team expertly manages 12 award-winning and highly sought-after strategies, made accessible through various investment vehicles, such as managed accounts and funds. Furthermore, we offer customization with variable leverage options to adeptly meet our clients' diverse needs. With over USD 1.6 billion in managed and subscribed assets from a prestigious clientele, predominantly composed of institutional-quality investors, we uphold stringent regulatory compliance across multiple jurisdictions. At Leibniz Group, we are steadfast in our commitment to delivering exceptional performance, while simultaneously maintaining an unwavering focus on robust risk management.