Jirisan Capital is a multi-asset class investment firm that conducts fundamental analysis with quantitative rigor across various asset classes, regions, and currencies. They analyze and compare performance against relevant benchmarks, focusing on intellectual integrity. Their active investment framework systematically captures risk premia in credit, rates, FX, and equities. Jirisan Capital aims to deliver superior performance with low drawdowns throughout the macroeconomic cycle. They prioritize delivering results to end investors rather than getting caught up in debates between active vs. passive, fundamental vs. quantitative, or other investment approaches. By avoiding narrow scope and silos, Jirisan Capital aims to provide clients with comprehensive investment advice and performance.