About
Signal Asset Management
Signal Asset Management is the investment management subsidiary of SR Global focused on developing active investment strategies for the digital asset ecosystem.
How we are organized
From parent company to product.
A clear line from the listed parent, to the manager, to the strategies it builds, to the products investors can hold.
- 01
SR Global
Parent company
Publicly listed
- 02
Signal Asset Management
Investment manager
Subsidiary of SR Global
- 03
Signal Strategies
Investable indices & strategies
Proprietary frameworks
- 04
Signal ETFs / ETPs
Investment products
How investors access the strategies
What we believe
Signal identifies the signal. We turn it into investable strategies.
- Active management
- Positions are decisions, not defaults.
- Investment intelligence
- Information is filtered into insight before it reaches a portfolio.
- Disciplined construction
- Portfolios are built deliberately, within defined frameworks.
- Risk management
- Exposure and downside risk are managed continuously.
- Transparency
- Rules-based frameworks, delivered in transparent products.
- An investable asset class
- Digital assets, approached with institutional standards.
Leadership
Investment team
Replace with approved photograph.
Eric Jackson
Lead Portfolio Manager
Meet Eric—
Portfolio Manager
To be announced—
Research Analyst
To be announced—
Risk & Trading
To be announced