One Pointis
Business Coaches
One Pointis
22 185 Notting Hill Gate, London
# One Pointis: Investment Solutions & Risk Management
One Pointis is a London-based investment management and financial services firm specialising in multi-asset class solutions and global risk management. The company serves institutional investors, portfolio managers, and asset owners seeking sophisticated portfolio optimisation and execution strategies.
The firm operates across four core competencies: Strategic Beta development through factor-based portfolios tied to global indices; Asset Overlays for currency hedging and tactical asset allocation; Portfolio Restructuring for complex multi-mandate transitions and liquidations; and Outsourced Trading solutions combining multi-broker execution with operational efficiency.
What distinguishes One Pointis is their commitment to bespoke, iteratively designed strategies rather than off-the-shelf solutions. They collaborate directly with clients to customise approaches aligned with specific risk tolerances and return objectives, whilst maintaining transparency and cost efficiency throughout the process. Their expertise spans the complete investment lifecycle—from initial strategy design through execution, settlement, and administration.
The company demonstrates particular strength in managing complex global transitions, managing multiple mandates simultaneously, and leveraging technology to reduce operational risk whilst maintaining relationships with multiple research providers. Their Strategic Beta offerings include specialised products tracking Chinese (CSI 300), Japanese (NKY 225), and global indices, each optimised through their proprietary EMVD methodology.
Rather than pursuing generic solutions, One Pointis positions itself as a partner for institutions requiring sophisticated risk management and execution capabilities that standard providers cannot deliver.
One Pointis is a London-based investment management and financial services firm specialising in multi-asset class solutions and global risk management. The company serves institutional investors, portfolio managers, and asset owners seeking sophisticated portfolio optimisation and execution strategies.
The firm operates across four core competencies: Strategic Beta development through factor-based portfolios tied to global indices; Asset Overlays for currency hedging and tactical asset allocation; Portfolio Restructuring for complex multi-mandate transitions and liquidations; and Outsourced Trading solutions combining multi-broker execution with operational efficiency.
What distinguishes One Pointis is their commitment to bespoke, iteratively designed strategies rather than off-the-shelf solutions. They collaborate directly with clients to customise approaches aligned with specific risk tolerances and return objectives, whilst maintaining transparency and cost efficiency throughout the process. Their expertise spans the complete investment lifecycle—from initial strategy design through execution, settlement, and administration.
The company demonstrates particular strength in managing complex global transitions, managing multiple mandates simultaneously, and leveraging technology to reduce operational risk whilst maintaining relationships with multiple research providers. Their Strategic Beta offerings include specialised products tracking Chinese (CSI 300), Japanese (NKY 225), and global indices, each optimised through their proprietary EMVD methodology.
Rather than pursuing generic solutions, One Pointis positions itself as a partner for institutions requiring sophisticated risk management and execution capabilities that standard providers cannot deliver.
Services offered
Strategic Beta portfoliosAsset overlays and currency hedgingPortfolio restructuring and transitionsOutsourced trading executionMulti-asset class managementRisk mitigation strategiesReturn enhancement optimisationSettlement and administration