Genix Corporate Finance is a premier asset management and financial services firm established to deliver geographical, asset class, and risk diversification across regulated investment funds and single-asset mandates. Operating internationally with dual corporate headquarters in Schaan, Liechtenstein and Watford, United Kingdom, Genix manages over €15 Billion in Assets Under Management (AUM).
Since our inception in 2018–2019, our growth strategy has centered on generating consistent risk-adjusted returns for institutional and individual clients. By combining quantitative investment models with fundamental bottom-up research, we empower our clients to participate directly in global market opportunities across Real Assets, Fixed Income, Forex, and Digital Assets.
The core principles driving our corporate governance and long-term client success.
We integrate strict Environmental, Social, and Governance (ESG) criteria across our investment processes, ensuring ethical stewardship and transparent fund oversight.
Maintaining robust capital reserves and liquidity buffers to protect client assets against extreme downside market volatility.
Deploying Nobel Prize-backed portfolio research and 25+ years of quantitative execution to systematic market inefficiency extraction.
Streamlined 24/7 trade execution, real-time portfolio tracking, and instant automated rebalancing across global asset markets.
Supported by 70+ Investment Advisory Professionals and 11 Advisory Partners focused on specialized asset management and risk control.
Infrastructure & Real Estate representing 36% of total AUM (€15B+).
Round-the-clock 24/5 liquidity across major global interbank markets.
Fundamentally managed bond portfolios for long-term yield stability.
Supervised cryptocurrency strategies with automated risk controls.
Contact our advisory team or explore our business segments today.
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