Triasima Portfolio Management Inc. (“Triasima”) and GATE Capital Management SA (“GATE”) are pleased to announce the establishment of a strategic partnership.
Through this partnership, the two firms will combine their efforts to enrich Triasima’s service offering by adding various innovative thematic strategies, such as the U.S. Infrastructure Enhanced and China 2060 Decarbonization strategies, composed of liquid listed securities, and in a second stage the discretionary Global Macro and “quantamental” Global Tactical Opportunities strategy. This partnership does not impact the shareholding of either firm.
These strategies, offered to Canadian institutional investors, will be managed by Triasima (portfolio construction, execution, risk management, compliance, reporting, etc.) with GATE’s recommendations (macro-economic views and individual securities).
“We are confident that GATE's unique and proven expertise, combined with our portfolio management know-how, will enable us to offer innovative alternative investment solutions that meet our clients' performance and sustainability objectives.”
Mathieu Tanguay, President and Senior Partner, Triasima“We look forward to working with Triasima to share our expertise with Canadian institutional investors."
Jacques Lemoisson, Founder, GATE
Founded in 2000 and wholly owned by its employees, Triasima is a Canadian investment management firm serving institutional and private clients across Canada and the United States.
The firm is known for its Three Pillars Approach™, which integrates fundamental, quantitative and trend analysis in a rigorous yet innovative process.
Founded in Geneva in 2022 by Jacques Lemoisson, GATE Capital Management is a leading player in institutional and professional asset management throughout Europe. With over 25 years of experience in Global Macro strategies and geopolitical analysis, Jacques and his team capitalize on their proven expertise in hedge funds and institutional asset management to dialogue with central banks, pension funds, insurers, private banks and family offices.
GATE understands that sustainable success depends on a unique ability to interpret global geopolitical and macroeconomic signals. Its methodology is based on rigorous fundamental analysis, enriched by innovative concepts such as Time Asymmetry, combined with a multi-dimensional quantitative process. This analytical framework enables it to accurately capture the fund dynamics that shape the investment environment. Unlike traditional financial players, GATE exploits a quantamental approach - a fusion of human intelligence and advanced algorithms - totally independent and uncorrelated with the markets.
Its investment philosophy is based on global foresight: “Seek the best, while being prepared for the worst”. GATE firmly believes that a deeper understanding of geopolitical and economic forces not only enables it to better protect capital, but also to seize opportunities in an ever-changing world.