About the Firm

GoGo Capital is a multi-strategy investment manager founded in 2005. We operate across New York, London, Hong Kong, and Paris, with a single investment process expressed through diversified sleeves.

Governance

The firm is overseen by an Investment Committee, a Risk Committee, and an Operating Committee. Strategy changes, model promotions, and material risk exceptions require multi-committee approval. Conflicts of interest are identified through standardized disclosures and pre-clearance protocols.

Compliance monitors personal trading, information barriers, and communications. Auditable logs span research, data provenance, and execution decisions.

Technology

Our platform integrates data ingestion, quality checks, feature stores, backtesting, paper trading, and live execution. System design emphasizes reproducibility, latency control, and fault tolerance.

Observability includes traceable research artifacts, model drift monitors, and policy-based access control.

Risk Culture

Risk is treated as an input, not an afterthought. We use stress testing, reverse stress testing, and liquidity ladders. Portfolio exposures are tied to transparent risk budgets and reviewed daily.

We document the rationale for trades and maintain scenario playbooks for major policy and macro events.

2025 Capability Expansion

In 2025, we added an event-macro program that expresses theses on liquid prediction markets when appropriate. The capability has proven effective at capturing event-linked premia and hedging policy risk within defined compliance parameters and liquidity limits.