TSH for the over 10 years have been actively involved in the ‘profit generation using trading opportunities in options, futures, Index and Crypto markets’ specializing in the trading of interest rate products and asset management. TSH was founded in London, in 2010. TSH has been authorized and regulated since 2010, currently by the FCA but previously the FSA, SFA and IMRO.
TSH specializes in connecting investors to the best asset managers and using its sophisticated platform as an API to allow investors a view to there bespoke asset portfolio and management tools in the global asset markets, for institutional clients, private investors and family offices.
TSH’s product speciality is in High yield trading asset from Crypto to Crypto ETFs, Governments & Agencies, Investment Grade Corporate bonds, ‘BB’ Non Investment Grade / High Yield bonds. Investments are primarily US$, Euro and GBP but may include other currencies. China / Asia in USD has become a core and strategic market for TSH.
TSH’s predominant focus is Europe, North America and core Asia (“regions”).
Continuous credit research and analysis is essential to the implementation and continuous management of investment strategies.
Core to TSH’s philosophy, is as vital as achieving a higher yield, is the protection and safety of the client’s principal. Each client’s portfolio is unique. TSH builds on the client’s own investment parameters especially as it relates to the risk taken versus the reward achieved. TSH superior knowledge and experience of what drives the risk reward, enables TSH to achieve a higher rate of return and lowering the risk.
Portfolio Management Methodology.
TSH portfolio management approach begins with understanding and assessing the client’s investment parameters, including cash flow requirements; reference currency; credit quality and risk/return sensitivity with respect to credit, yield and maturity. A portfolio which is bespoke and diversified (the “Portfolio”) is then developed and continuously managed with appropriate ‘switches’ to enhance and maximize the client’s total return. TSH’s very special knowledge and understanding of how to compose and mix the different asset holdings, enables TSH to create a portfolio with the client’s desired returns and risk profile, ensuring clarity to the risks, short and long term that might compromise desired returns.
By tailoring the combinations of maturity, credit rating, diversification by sector, region, and mixing percentages of exposure to specific trading strategies and underlying asset, industry, country and the capital structure of investors , enables TSH to meet the client’s desired portfolio risk return.
Portfolios are reviewed and updated, as events unfold in the global markets or due to changes of client’s needs or desired risk returns.
Optimisation.
TSH’s objective is to buy and sell for client asset, the appropriate asset (bond, crypto,)at the best possible price in the following ways:
We do our own credit work and determine the assets that will best meet the portfolio’s parameters. Based on the results of our credit work, TSH will determine the correct credit spread, thus determining the price the asset should be purchased. We then source the asset through our significant relationships with financial market and market makers globally, to determine who has a position or is prepared to quote competitively using our internally designed trading system, We may also leave ‘limit orders’ with the trading / sales desks who try and source from their client portfolios.
Credit Approach
Continuous in-house and third party credit research and analysis is decisively important to the determination of the Portfolio’s over all composition and ongoing management.
This process also identifies new and attractive assets to add to the Portfolio or switches in the portfolio to pick up yield or change duration.
Each portfolio is specifically diversified by investors capital structure and investors preferred earning target and ratings.
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