Founded in 2005 and based in New York City, Galileo Investment Management constructs portfolios of nimble sector specialists to deliver attractive risk-adjusted returns in various market conditions. Their funds have low correlation to the broader markets and offer increased downside protection during volatile times. With a proven process of methodical manager selection and portfolio construction, the firm focuses on two diversified portfolios of differentiated hedge funds along with co-investments. Galileo seeks to include nimble sector specialists in their portfolios to achieve uncorrelated risk-adjusted returns in all markets.