Integrated Alternative Alpha Fund
Objective of fund:The philosophy is to extract maximum alpha from a range of absolute return strategies, add limited and targeted alternative beta exposures and apply moderate leverage. The objective is to maximize risk adjusted returns independent of movements in equity markets and bond markets. Target return is 8% to 12% annualized over a full cycle. Target volatility is under 5%.
This fund is attractive for investors seeking:
- Exposure to Alpha Strategies and Alternative Beta Strategies
- Uncorrelated returns to traditional asset classes
Target Investors:
- Private Clients, Private Banks and Institutional investors
Invest through investoffshoredirect.com and the initial charge is reduced
E-mail
us now to get prospectus and fact sheet for this fund