Traditional investment approaches often force investors into rigid silos. But hedge funds, liquid alternatives, and quantitative investment strategies (QIS) all operate in separate worlds. At Resonanz Capital, we break down these barriers, offering a dynamic, diversified approach that combines the best of all three.

Our strategies provide daily liquidity, tapping into top-tier QIS and external managers to bring institutional-grade techniques to a broader audience. Instead of sticking to the usual pre-packaged UCITS funds or managed accounts, we scout the market for the best opportunities—leveraging both established and cutting-edge strategies.

What makes our approach different?

We blend the dynamic flexibility of a multi-manager hedge fund with the investor-friendly UCITS framework, ensuring that professional investors can access sophisticated strategies with transparency, efficiency, and fewer hurdles.

How Our Strategies Work: A Simple Three-Step Process

Scout & Analyze

We continuously scan the market for the best QIS, liquid alternatives, and hedge fund strategies, selecting high-quality opportunities from leading providers.

Construct & Diversify

We build a balanced portfolio that combines different quant-driven strategies and external managers, ensuring diversification and strong risk-adjusted returns.

Optimize & Evolve

Markets change, and so do we. We refine and adapt our strategy selection using cutting-edge data analytics and risk management to keep portfolios optimized in real time.

Why This Matters for Investors

Access to Cutting-Edge Strategies

Unlock QIS solutions that were once reserved for large institutions.

Daily Liquidity & Transparency

Enjoy hedge-fund-like strategies without the usual liquidity constraints.

Institutional Quality, Broader Access

We make sophisticated investment methods available to a wider range of investors without sacrificing performance.

Resonanz Jazz Multi-Strategy

Dynamic. Diversified. Risk-Aware.

Resonanz Jazz Multi-Strategy fund is a cutting-edge UCITS-compliant fund designed to capture the benefits of diversification and dynamic allocation across a broad spectrum of liquid investment strategies. With a focus on active portfolio management and disciplined risk oversight, Jazz typically invests in 30 to 40 distinct strategies, aiming to deliver attractive risk-adjusted returns while prioritizing capital preservation.

By harmonizing multiple alpha sources within a single fund, Jazz seeks to offer investors a robust, all-weather solution built for today’s complex market environment.

Key Facts – Resonanz Jazz Multi-Strategy (EUR I Share Class)

Item Details
ISINDE000A40RD16
WKNA40RD1
Bloomberg TickerRESOJIE GR
CurrencyEUR
Inception DateApril 7, 2025
Fund DomicileGermany
Investment AdvisorResonanz Capital GmbH
Management CompanyUniversal Investment
DepositaryBNP Paribas S.A., Germany Branch
Distribution PolicyAccumulating
Management Fee (All-in)0.85% p.a.
Performance Fee10% of the fund’s outperformance over the 1M EURIBOR benchmark
Minimum Initial InvestmentEUR 100,000
Minimum Subsequent InvestmentNone

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