Our Strategy
Individuals’ savings are eroding in the face of inflation. We address this problem by enhancing our clients’ investment strategy.
Troisieme Semestre focuses on commodities, currencies and indexes.
Closely monitoring political, geopolitical, economic and environmental events to seize market opportunities.
We see risk management as an asset to increase and sustain the returns of our investors.
23.3% max. volatility, FY2022
37.5% max. volatility, all-time
0.14% chance of total capital loss
We see risk management as an asset to increase and sustain the returns of our investors.
23.3% max. volatility, FY2022
37.5% max. volatility, all-time
0.14% chance of total capital loss
to become an investor.
Our team is composed of investment professionals with several years of tenure in Tier 1 investment banks within the trading and equity research desks.
Our team is composed of investment professionals with several years of tenure in Tier 1 investment banks within the trading and equity research desks.
Leveraging geopolitical events to create value: we are a global macro strategy fund helping our clients unlock the full potential of their investments
Leveraging geopolitical events to create value: we are a global macro strategy fund helping our clients unlock the full potential of their investments
Leveraging geopolitical events to create value: we are a global macro strategy fund helping our clients unlock the full potential of their investments
Leveraging geopolitical events to create value: we are a global macro strategy fund helping our clients unlock the full potential of their investments
performance FY2022
performance, FY2022
performance, FY2022
03
03
performance, FY2021
performance, FY2021
performance, FY2021
+52.0%
+52.0%
+52.0%
03
Risk Management
Join Us
We see risk management as an asset to increase and sustain the returns of our investors.
23.3% max. volatility, FY2022
37.5% max. volatility, all-time
0.14% chance of total capital loss
Contact us at hello@troisiemesemestre.com
to become an investor.
Q4 2022
performance, FY2022
03
performance, FY2021
+52.0%
Our Strategy
Understanding and leveraging what shapes the world to deliver value to our clients.
Individuals’ savings are eroding in the face of inflation. We address this problem by enhancing our clients’ investment strategy.
Troisieme Semestre focuses on commodities, currencies and indexes.
Closely monitoring political, geopolitical, economic and environmental events to seize market opportunities.
Risk Management
Join Us
We see risk management as an asset to increase and sustain the returns of our investors.
23.3% max. volatility, FY2022
37.5% max. volatility, all-time
0.14% chance of total capital loss
Contact us at hello@troisiemesemestre.com
to become an investor.
Client Presentation
Q4 2022
Learn more
France-based and born, we bolster the returns of professional and individual investors with a high-yield investment strategy supported by 10 years of investment experience.
Our team is composed of investment professionals with several years of tenure in Tier 1 investment banks within the trading and equity research desks.
Give a new dimension to your investments
hello@troisiemesemestre.com