Quantitative Investment Management

Hedge Fund Data Driven
Ahead of the Curve

Advanced quantitative strategies delivering consistent returns across risk profiles

Interactive Brokers
Kalshi
AWS
Polymarket
Bloomberg
TradingView
Financial Times
Twitter
CME Group
Nasdaq
Interactive Brokers
Kalshi
AWS
Polymarket
Bloomberg
TradingView
Financial Times
Twitter
CME Group
Nasdaq

Asset Universe

Diversified exposure across multiple asset classes and geographic regions

Fixed Income

Government & Corporate Bonds

Equities

Global Technology Stocks

Digital Assets

Cryptocurrency Portfolio

Commodities

Precious Metals & Energy

Exotic Assets

Alternatives & Specialty Strategies

Performance P&L

2023+10.5%
2024+11.8%
2025 Projected+10.9%

Past performance does not guarantee future results. Index values shown are for illustrative purposes (Base 100).

About PRH Capital

Founded on the principles of precision, market expertise, and rigorous risk management, PRH Capital represents the next generation of quantitative investment management.

Our systematic approach combines cutting-edge machine learning algorithms with traditional financial theory to deliver consistent, risk-adjusted returns across market cycles.

€50M+
Assets Under Management
5+
Years Track Record
150+
Satisfied Clients

Quantitative Excellence

Data-driven investment decisions

Risk Management

Systematic downside protection

Client Focus

Personalized investment solutions

Leadership Team

World-class expertise in quantitative finance and investment management

Pawel Margielewski

Chief Investment Officer (CIO)

MS Financial Engineering @ Columbia University
Financial Markets @ Norwegian School of Economics

Leading quantitative investment strategies with deep expertise in financial engineering and systematic portfolio management.

Raphael Monges

Chief Executive Officer (CEO)

MS Business Analytics @ Columbia University
MS AI @ CentraleSupélec
Financial Markets @ ESCP

Focused on one goal: delivering exceptional risk-adjusted returns through data-driven investing, deep domain expertise, and disciplined risk-taking in a modern hedge fund framework.

Hadrien Kremer

Chief Risk Officer (CRO)

MS Financial Engineering @ Columbia University
Financial Markets @ École Polytechnique (X)

Leading enterprise risk strategy with deep expertise in financial engineering, stress testing, and systematic risk management to safeguard performance across market regimes.