This webpage may contains product that does not match the risk profile for retail investor. To proceed, please confirm that you are a professional / institutional client and investor as defined under article 4 of Financial Consumer Protection Law and article 11 of SITE&SICE Act.

Our expertise

O'Connor is an established alternatives platform with hedge funds, alternative credit and commodities. We have over 40 years of institutional experience in trading and market making and over 20 years’ experience as a hedge fund manager with a strong focus on relative value investing and risk management. O'Connor's capabilities cover a wide range of investment strategies, which seek to achieve attractive risk-adjusted absolute returns with low correlation to most major asset classes and traditional investment benchmarks.


O’Connor offers investors a dynamic and resilient investment approach, with a strong focus on relative value investing and risk management.

What sets us apart

Diversified strategies

We combine strategies with the goal of creating a diverse stream of returns relatively uncorrelated to major asset classes. We shift capital and risk dynamically across strategies to seek market investment opportunities.

Value investing aimed at managing risk

Our approach is rooted in relative value investing and state-of-the-art risk management capabilities, through which we strive to provide investors with attractive, risk-adjusted absolute return potential.

Collaboration across teams

We foster collaboration across our teams based in New York, Chicago, London, Hong Kong and Singapore, with the goal of raising our collective intelligence. We seek to strengthen those teams by recruiting and retaining the best people from inside the industry and out.

Access Part 2B of UBS O'Connor's Form ADV below, which includes biographical and other information relating to certain key personnel of UBS O'Connor.

Our strategies

Private Credit

Providing bespoke lending solutions with a focus on corporate direct lending and asset finance.


Working Capital

A short-duration, uncorrelated working capital finance strategy seeking to capitalize on the market’s funding gap.


China Long/Short

Low-net relative value Equity long/short strategy investing primarily in companies predominantly listed in Greater China.

We’re here to help

Contact us

For general inquiries with UBS Asset Management, fill in a form with your details and we’ll be back in touch.

Our leadership team

Our global leadership team is deep, diverse, and dedicated to our ethos of delivering investment excellence.

Find your local UBS office

As your expert global partner, we're closer than you think. Discover UBS's locations in your region.