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ICON Asset Management
ICON ASSET MANAGEMENT
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The Science of Investing

ICON offers investors strategic access to absolute-return strategies designed to reduce reliance on traditional markets, preserve capital and enhance long-term risk- adjusted returns.

Why ICON Asset Management

Experience the difference of a boutique Swiss wealth manager with institutional capabilities

Swiss Excellence

Based in Zurich with deep understanding of Swiss financial markets and regulatory framework

Proven Track Record

Nearly two decades of consistent performance across market cycles since 2006

Client-Centric Approach

Tailored solutions for UHNW individuals, family offices, and institutional investors

Our Alternative Investment Strategies

ICON offers four distinctive approaches to alternative investment management. We believe a 10–20% allocation to alternative investments can provide critical portfolio diversification, generating absolute returns that are typically non-correlated with traditional equity and fixed income and real estate asset classes. This approach offers preservation of capital and enhanced risk-adjusted returns across all market cycles and varying conditions.

ICON TrueNAV Structured Yield Strategy

ICON TrueNAV Structured Yield Strategy

ICON TrueNAV Structured Yield Strategy is a proprietary options strategy that exploits short-term mean reversion in major equity indices while staying net long option premium. Model-driven hedges in near-expiry options aim to cap losses during market shocks and deliver high risk-adjusted returns with low correlation to the stock market.

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 ICON Cboe® U.S. Equity Dynamic Covered Call Strategy

ICON Cboe® U.S. Equity Dynamic Covered Call Strategy

The ICON Cboe® U.S. Equity Dynamic Covered Call Strategy systematically writes S&P 500 call options to generate quarterly income distributions while maintaining long equity exposure. Enhanced with proprietary VIX overlay for downside protection during volatility spikes.

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ICON Market Neutral I Strategy

ICON Market Neutral I Strategy

ICON Market Neutral I Strategy is an all-weather, absolute return strategy targeting double-digit annual returns with low drawdowns and efficient capital use. A diversified portfolio of systematic algorithms across highly liquid assets creates a hybrid multi-strategy profile with low correlation to the S&P 500 and hedge fund indices, aiming to enhance investors’ risk-adjusted returns in all market conditions.

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ICON Parkside Swiss RE I Strategy

ICON Parkside Swiss RE I Strategy

ICON Parkside Swiss RE I Strategy gives investors actively managed exposure to a curated portfolio of Swiss residential and commercial properties, targeting steady income and capital growth with mortgage-backed downside protection, ESG integration, and diversification across sectors and regions within Switzerland.

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Led by Industry Veterans

Our board and advisory team bring decades of experience across alternative investments, quantitative strategies, and global financial markets.

Ready to explore alternative investments?

Discover how ICON's systematic approach can enhance your portfolio with non-correlated returns.

Company

Strategies

Team

Contact

Weisses Schloss

General Guisan Quai 30

8002 Zurich, Switzerland

+41 44 201 6410 ​

info@iconasset.com

FINMA Regulated (Switzerland)•NFA CTA ID: 0508527•SEC Registered ERA: 309138
© 2025 ICON Asset Management AG
AIMA - The Alternative Investment Management AssociationMember of the Swiss Association of Wealth Managers - SAM