FERI expects demand for alternative investments such as private markets (private equity, infrastructure, real estate) and hedge fund investments to continue rising strongly in the coming years. FERI currently manages alternative investments exceeding 18 billion euros, making it one of the largest providers in Germany.
For more than 20 years, we have been offering our clients individually tailored risk management solutions. Market risks are actively managed according to risk and return parameters jointly defined in advance.
In institutional asset management, FERI offers a broad range of asset management services for institutional investors. Our investment specialists have many years of experience in all asset classes and follow a multi-asset approach ranging from the development and implementation of individual investment strategies to quantitative risk management and control.
FERI expects demand for alternative investments such as private markets (private equity, infrastructure, real estate) and hedge fund investments to continue rising strongly in the coming years. FERI currently manages alternative investments exceeding 18 billion euros, making it one of the largest providers in Germany.
For more than 20 years, we have been offering our clients individually tailored risk management solutions. Market risks are actively managed according to risk and return parameters jointly defined in advance.
FERI is a byword for comprehensive, individual, transparent and sustainable advice and support for private clients. With over 30 years of experience, we offer private investors a wide range of asset management services.
For us, your requirements and needs are the basis for planning and optimising your asset structure. We always keep an eye on all legal and tax aspects and try to bring about improvements for you. As we work strategically on a long-term basis, we place a strong focus on comprehensive future and succession planning. Foundation consulting is also part of our strategic asset structuring.
The FERI family office is the strategy advisor for your assets. We offer services ranging from strategic asset planning, implementation consulting and results monitoring and controls, through risk management and asset protection strategies to sustainability consulting.
With the help of an asset liability management study, FERI can show you whether a financing system in its current form is sustainable and whether sufficient risk carriers are available or whether a modification of the system is advisable.
During the transition to a sustainable future, FERI guides and supports you in the implementation of a sustainability concept and in the implementation and further development of existing solutions.
FERI’s comprehensive support ranges from optimal asset allocation and investment planning to appointing managers, reporting, monitoring and controls. Clear structures always ensure well-documented decisions and transparent investments.
FERI carries out a cost check in three steps and determines the costs for mandates, depositaries and investment management. In times of persistently low interest rates, these are a key factor in the performance of any portfolio.
FERI uses the three-step manager check to assess the quality and performance of asset managers.
FERI evaluates current portfolios in terms of expected returns and risk and checks whether the allocation still meets the requirements regarding yield and available risk budget. In addition, FERI presents you with alternative portfolios that promise higher returns with the same risk or offer similar opportunities for returns with reduced risk.
To ensure the success of the investment, FERI provides guidance on risk management processes. These range from the preparation of a risk manual and risk inventory to regular reporting and commentary.
In order to identify the risk sources and their distribution in the portfolio of an investment, FERI prepares a risk sheet, which makes this information transparent and clear. It clearly shows what share of the overall risk is attributable to the individual investment funds, segments and asset classes.
FERI offers its clients the entire process of investment consulting and has continuously developed it since the 1990s. Thanks to our extensive experience, self-developed research and analysing tools and the access to around 250 employees in all areas of the investment process, we create significant added value for our clients through our range of consulting services.
Asset allocation – an overview of the latest market developments. FERI offers optimal, quantitative and qualitative support for decision-making, both in terms of strategic and tactical asset allocation.
FERI’s economic expertise is used in high-profile companies for operational planning and market research and in numerous banks for risk management from an industry perspective. We offer our clients the following services: worldwide economic data; global macro research; global economic, interest rate and currency forecasts; country and sector outlooks; FERI sector rating.
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Rathausplatz 8-10
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FERI AG

+49 (0) 6172 916-3600
+49 (0) 6172 916-9000
fag@feri.de


D-61348 Bad Homburg
Rathausplatz 8-10

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FERI continues the success story of volatility strategies - flagship fund US EquityFlex outperforms the S&P 500 again on its 10th anniversary

Bad Homburg, 1/31/2025
by FERI
  • Volatility as an independent asset class with more than EUR 3 billion of client assets under management is a fundamental component of FERI's multi-asset investment strategy
  • 27.7 percent performance and 2.7 percent outperformance of the S&P 500 TR Net in 2024

Regular alpha thanks to inefficiencies on the options markets: This is what the FERI volatility strategy US EquityFlex (ISIN: LU1138397838) has been successfully implementing for ten years now. The multi-award-winning strategy, which recently won the HFM European Performance Award once again, has continuously outperformed its benchmark, the US benchmark index S&P 500.

In 2024, the fund achieved an annual performance of 27.7% - 2.7% more than the S&P 500. Since its launch in 2014, the US EquityFlex has outperformed the benchmark by 74 percentage points with a performance of around 296%, which corresponds to an average performance of 14.75% p.a. This means that the US EquityFlex regularly tops the rankings of renowned publications as one of the best-performing equity funds for the S&P 500. Around USD 1.73 billion in client assets are currently managed in this strategy.

“With volatility strategies such as the US EquityFlex, we offer our clients an alternative source of return with the opportunity to outperform the US equity market through our proven option premium strategy. The focus is on risk management through a very broad diversification of options, for example in terms of maturities and strike prices. As a result, we regularly collect volatility premiums and also trade systematically, which makes our portfolio independent of daily market influences. In this way, we significantly stabilize the performance through permanent hedging,” explains Horst Gerstner, Lead Portfolio Manager of the FERI Flex strategies.

“We at FERI were one of the first to recognize the potential of volatility as an asset class in its own right,” adds Carsten Hermann, Head of Investment Management and one of the initiators of the FERI Flex strategies. “With the multi-award-winning US EquityFlex, we have set standards in the field of volatility strategies and shown how innovative strategies can be used successfully for our clients.”

Volatility as a central building block in FERI's multi-asset investment strategy

FERI manages more than three billion euros in volatility strategies with a team of seven. The volatility family, which currently comprises three funds, has received numerous awards over the years and regularly achieves top positions in relevant industry rankings. “Volatility strategies are a fundamental component of our multi-asset investment approach. Building on our many years of experience and expertise, we will expand these investment strategies and add further innovations,” explains Dr. Marcel V. Lähn, CEO & CIO of FERI AG. “The aim is to continue to open up the opportunities offered by alternative sources of return to our clients as a supplement to traditional investment approaches in the future.”

Due to their size and highly efficient processes, the funds offer very attractive conditions. In contrast to some competitors, FERI acts as a direct portfolio manager, which ensures greater efficiency and security for investors. All key processes are mapped in-house and options orders are placed directly on the trading floor of the Chicago Board Options Exchange (CBOE). For investors, this means having a very high-performance product in this important asset class in their portfolio from all risk and return perspectives.


About FERI

The FERI Group, headquartered in Bad Homburg, Germany, was founded in 1987 and has developed into one of the leading multi-asset investment houses in the German-speaking region. FERI offers tailor-made solutions for institutional investors, family assets and foundations in the business areas:

Founded in 2016, the FERI Cognitive Finance Institute acts as a strategic research center and creative think tank within the FERI Group, with a clear focus on innovative analyses and method development for long-term aspects of economic and capital market research.

Together with MLP, FERI currently manages assets of around EUR 61 billion, including around EUR 18 billion in alternative investments. In addition to its headquarters in Bad Homburg, the FERI Group also has offices in Düsseldorf, Hamburg, Hanover, Munich, Luxembourg, Vienna and Zurich.



Media relations contact

Marcel Renné

Chairman of the Board & CEO

Rathausplatz 8-10

D-61348 Bad Homburg