Managing complexity, risk, and opportunity through the intersection of investment skill and macro-tactical advantage.
“It is impossible to produce a superior performance
unless you do something different from the majority”
Sir John Templeton
About FIS Group
FIS Group is an investment management firm that provides customized manager of managers investment solutions for institutional investors.
For 21 years, we have delivered risk-adjusted returns by conquering the complexity of identifying high skill, high active share entrepreneurial managers that have gone largely undiscovered by the institutional investor community.
Frontier Markets Outlook 2017
“Big Winners in the Neglected Frontier Universe“, concludes that frontier markets remain attractively priced, with much lower valuations, relative to developed markets.
“We remain bullish on Argentina, Vietnam, frontier Europe, and Pakistan,” says Tina Byles Williams, CEO and CIO of FIS Group. “In capacity constrained markets like these, we continue to favor smaller, high-conviction frontier markets managers and processes that are not reliant on high levels of liquidity in the asset class for their strategies.”
FIS Group Ecosystem
Creating opportunities for new investment managers by providing access to the following:
- Private investors
- Industry best practices
- Our preferred vendor platform
In addition, our services are provided at no cost to managers.
Latest News And Research
FIS In the News Originally published on March 10, 2017 Click to read the full article – Populism and interpreting underappreciated market risks (A Pensions & Investments subscription is required to view the full article) Populism and interpreting underappreciated...read more
FIS In the News Originally published on January 26, 2017 Click to read the full article – This Time It Really Is Different and Managers Need to Evolve (A FundFire subscription is required to view the full...read more
Our Q1 2017 Global Market Outlook, Who Knows? Navigating the Known Knowns and Underappreciated Knowns In Current Market Consensus, examines vulnerabilities in the bullish consensus narrative underpinning global equity markets. The key vulnerabilities discussed are U.S. dollar appreciation, elevated U.S. Small Cap valuations, questionable assumptions behind the bullish narrative on EM equities, as well as gathering geopolitical risks.read more