Mid-Cap Long/Short

The TT Mid-Cap strategy was launched in 2004. The core strategy is Mid-Cap European equities long and short, with low flexible net or market neutral options. The strategy ethos – low volatility, uncorrelated portfolio and returns – is based on a disciplined risk management process and a genuinely bottom-up, absolute return approach, both at stock and portfolio level. The strategy was closed to new investors for many years, but recently reopened. For detailed information about the strategy, please register for access to our online portal

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Mid-Cap Europe Long/Short

  • The objective of the strategy is to provide absolute returns, whilst preserving capital in adverse market conditions, thereby offering a lower volatility, uncorrelated return profile. 
  • Capitalises on the inherent inefficiencies in European Mid-Cap equity markets (EUR 1-9bn market cap) to offer differentiated opportunities versus large-cap universe. 
  • Bottom-up approach driven by fundamental stock picking, focused on absolute returns from fully active long and short positions – no hedges. 

  • Pragmatic approach to investing: leveraging team's sell-side experience to produce consistent returns in all market conditions. 
  • The strategy is run by Jack Miller (Co-PM since 2016). Following the retirement of the founding PMs, Jack Miller assumed the role of sole-PM in January 2024, supported by 2 analysts. 
  • For detailed information about the strategy, please register for access to our online portal

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