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RML Advisory

Building Resilient Hedge Fund Portfolios

Über uns

About US

RML Advisory Ltd. is an independent alternative investment advisory firm, originally established in 2017 under the name RML Advisory that specializes in a diversified set of alternative investment strategies.

Our team's decades of combined experience in hedge funds — spanning manager research, manager selection, strategy selection, portfolio construction, and portfolio management - together with our extensive industry relationships, enable us to deliver highly customized solutions tailored to each client's unique objectives.

RML Advisory Ltd. is a member of the Financial Services Ombudsman Association (OFD), Zurich (https://www.ofdl.ch/)

Active team members are officially entered in the Swiss Client Advisor Register in accordance with Article 32 paragraph 1 of the Financial Services Act (FinSA) and Article 42 of the Financial Services Ordinance (FinSO), which is in turn supervised by the Swiss Financial Market Supervisory Authority (FINMA).

Our Services

Hedge Fund Investment Advisory

Tailor-made portfolio solutions for professional and institutional investors - development of diversified hedge fund portfolios customized to each client's return expectations, risk tolerance, and liquidity requirements.

However, our investment philosophy centers on constructing portfolios with low beta exposure, low correlation to traditional markets, and low pairwise correlation between managers - capturing a broad range of uncorrelated return sources across independent hedge fund strategies.

By systematically combining diverse sources of alpha, we aim to deliver attractive, risk-adjusted returns with robust risk diversification and liquidity.

Comprehensive mandate monitoring - including reporting, performance controlling, and shadow accounting.

Global hedge fund network - access to top-tier and emerging investment talent worldwide.

In-House Investment Solutions

We build multi-manager hedge fund portfolios designed for stability, resilience, and sustainable value growth.

Objective: Effective protection against market downturns, combined with "crisis alpha" for stability and capital preservation during periods of financial market stress.

Our portfolios are built on low beta exposure, low correlation to traditional markets, and low pairwise correlation between managers - capturing a broad range of uncorrelated return sources across independent hedge fund strategies.

We unlock exclusive investment opportunities through a global network of established and emerging hedge fund managers.

Third Party Markting & Distribtuion

As a trusted partner, we distribute funds and investment solutions from a select group of carefully chosen partners.

Our approach is relationship-driven, built on strong, long-term partnerships between funds, clients, and our firm.

We provide comprehensive fundraising support - leveraging our expertise, global network, and deep understanding of investor needs to help fund managers raise capital effectively.

Access to a broad network of institutional and professional investors as well as UHNW platforms, with end-to-end relationship management across the entire investment lifecycle.

All marketing and distribution activities are fully compliant with applicable regulatory standards.

Kundenmeinungen

Message from the CIO

"Our mission is to deliver consistent, risk-adjusted returns through rigorous manager selection, disciplined portfolio construction and monitoring, systematic risk management, and deep market expertise — combined with low correlation to traditional markets and attractive asymmetric return profiles.

Our portfolios are built for both growth and protection: consistent absolute returns, capital preservation in turbulent markets, and "crisis alpha" when it matters most.

We view our clients as true partners, guided by transparency, integrity, and innovation."

Rainer Lang, Founder & CIO

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