Clifton Capital aims to generate consistent, positive risk-adjusted returns across market cycles by deploying systematic long-short strategies in global equities. We invest funds with the aim of earning a return higher than our cost of borrowing.

We aim to provide rates of return that are higher than the banks and comparable to shares, but with much less volatility. The figure below shows the past performance of earning interest from Clifton Capital compared to bank interest and Australian shares.

Clifton Capital’s services are not intended as an invitation or offer to enter into any agreement or investment of any kind. We are not licensed or registered to provide financial services of any kind. Please refer to our Terms of Service for more information.