
Investment Philosophy
Myriad combines rigourous fundamental analysis paired with a combination innovative technical indicators to deliver superior, risk adjusted returns to investors
The Myriad Approach
Myriad Holding's proven trading strategy provides portfolio construction based on data driven decision making paired with deep market expert analysis
Round the clock supervision of world events by professionals tasked with keeping your money safe.
World class strategy constantly evolving in a market that never stops changing. You stay ahead of the group.
Risk-first Portfolio construction. Making sure your capital is secure, no matter market sentiment.
So good, we're all in. Myriad's managers have the confidence to put their capital with yours, because we know we're the best.
The Myriad portfolio is stress tested constantly, making sure no matter how extreme things get, you're in safe hands.
Get invested in the world, with global access to markets, your diversification stems into every corner of the world.
Don't worry about the market anymore, Myriad performs independant of broader market conditions to make sure you're on top, always.
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Track Record
84.3%
Our Annual Average Return for the Past 5 years Post Fees
3.52
Our Sortino Ratio Last Year
94.4%
Positive Months in the Past 3 years