European Union Fund
The European Union Fund's portfolio management structure is based on a blend of
39 managers; 28 represent 14 hedge fund sectors and 11 represent managed
futures. This gives the European Union Fund exposure to global markets removing
the economic bias experienced by capital invested in a single fund exposed to
only a single continent.
All CTA's and Hedge Fund managers are individually allocated or bundled based on
their correlation relativity, volatility, margin exposure, market exposure,
continental market participation, lock-ups, contingency plans, returns and
ability to provide a diversification to one another, thereby smoothing an
already smooth performance, reduce risk, reduce volatility and experience a very
low correlation to internationally recognised benchmarks such as the S&P and
Dow.
US Dollar denominated. Minimum investment $10,000,000
Performance
Five-year performance guarantees available for investments of US$50
million plus
Invest through investoffshoredirect.com and there is no initial sales charge