Managing High-Performance Funds
Analyze financing costs to enhance capital usage and performance.
Meraki Global Advisors can help you better understand your treasury costs and improve your financing so you can focus generating performance.
Meraki can manage both the short and long side of your fund’s security lending programs. Our team has decades of experience and insight to help you cost effectively manage through hard-to-borrow situations and ensure you are maximizing the return of your long book.
For asset managers with complex balance sheets, Meraki can provide insight and reporting to assist in managing balances across prime brokers and swap providers.
With today’s low, and sometimes negative rates, cash management is more important than ever. We optimize balances in all currencies for yield and safety.
Optimizing financing across prime brokers and swap/derivative counterparties is one of the safest ways to drive return to a fund’s bottom line. At Meraki we help our partners find efficient structures to fund their asset purchases.
Prime brokers and custody banks view the funds they service holistically across their platform. Meraki can help manage your relationships so you get the value you deserve from your counterparties.
We have expertise in managing FX hedging programs with both forwards and options. We can create the right portfolio overlay or share class level hedge to fit your firm’s needs.
Improve your buy side execution and build a scalable infrastructure with a bespoke solution from Meraki.