Arasbridge Capital Preservation Fund
Fund Highlights
- Global managed futures and commodity fund of alternative Investment Managers.
- Diversification: Multi Manager and Multi Asset class fund with consistent returns irrespective of market conditions
- Enhanced returns and diversification risk is achieved by allocating assets of the fund to a number of separate asset class managers. Consistenty outperforms muilt-manager, multi-strategy fund of funds and hedge fund indexes.
- Global equity exposure is protected with an automatic stop-loss of -4% on underlying fund. Risk Control: diversification, continuous due diligence, underlying transparency and monthly liquidity.
Fund Objective
The objective is capital preservation by means of consistent returns with moderate levels of volatility. The strategy is to invest in funds with global exposure to some of the most sought after, successful and experienced institutional asset managers with Multi-Manager, Multi-Asset Class Strategies, including Arbitrage, Global Macro, Long-Short Hedge, Global Equity, Event Driven and Bond strategies. Emphasis is placed upon Managers with prudent risk management skills.
E-mail
us now to get prospectus and fact sheet for this fund