INVESTING OFFSHOREOUR PREFERRED FUNDSFor income; For alternate investments; For something completely different; For volatility with an upwards trend:
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OFFSHORE FUNDS GROUPAberdeen Asset Management Absolute Return Fund Absolute Return Partners Access Investment Management Adastra Fund Managers Aliquot Gold Bullion Fund Alliance Bernstein Funds American Diversified Funds Ansbacher Investment Management Apollo Fund Appleton Capital Management Aras Investment Management Arc Fund Management Limited Argyle Funds SPC Inc. Arrow Hedge Partners ASK Investment Managers Assured Fund Atlantis Investment Management Axiom Legal Financing Fund Baring Asset Management Bearbull Funds Belmont Investments BluMont Capital Callander Fund Capricorn FX Cardea International Castlestone Managment Catalyst Investment Group Centurion Fund Managers CFB Convertibles Fund plc CFP Funds China Everbright Asset Management CopperTree Capital Management Coral Student Portfolio Defined Return Fund Dighton World Wide Investments AG Dynamic Investment Strategies EBC Opportunity Fund Eclectica Asset Management EEA Life Settlements Fund EFG Asset Management Exclusive Distribution The Fine Wine Collector Plan FMG Fund Managers Foord International Trust Foundations Capital Fraternity Fund FTM Fundamental Asset Management Limited GAA Investment Funds GAIM Advisor Funds Gartmore Group Glanmore Property Fund Global Opportunities Portfolio Griffin Capital Management HSBC Global Funds and Investments India Advantage Fund India Value Investments Limited Infiniti Capital AG Insinger de Beaufort Funds Integrated Alternative Investments International Life Settlements Fund Investec Asset Management IQS Futures Fund John Locke Investments Lanner Car Park Fund Lansdown Atlantic Life Settlement Fund Life Partners Ltd Life Settlements Funds Limited Lloyds TSB Offshore Funds LM Investment Management Ltd Luxembourg Life Fund Magma Fund Advisors Ltd Man Investments Man Investments Australia Managing Partners Limited (MPL) Manor Park Guaranteed Investment Funds Mansion Student Accommodation Fund Maua Investimentos Mellon Global Investments MFS Offshore Mutual Funds Midas Capital International Miton Investments Montello Income Fund MVP Asset Management Noble Investments Nobles Crus Orchard Funds PLC Orion Life Pacific Continental Platinum Capital Management Policy Plus International plc Porton Capital Limited Precious Time Premier Funds Prestige Funds Private Client Portfolio Protected Asset TEP Fund plc Putnam Investments QIB (UK) QROPS Overseas Pension Quadris Environmental Investments QuantOne Partners LP Real Associates Eastern Europe Redmayne-Bentley Regent CFM Life Settlement Funds Rudolf Wolff SciVest Offshore Alternative Strategies Scottish Capital Protected Fund Secure Capital Select High Security Fund plc SGI-management Stonehedge International Hedge Fund Limited Strategic Directions Alpha Fund Sturgeon Capital The London Nominees Limited Thesis Asset Management PLC Tilney Asset Management Titan Fund Management Tramita Funds Tranen Capital Typhoon Options Fund Limited UK Secured Finance Fund Utopia Fund Valletta Fund Management VAM Funds Vanguard Axis |
Prestige Managed IndexPrestige Managed IndexPrestige Managed Index is an alternative investment Fund focusing on global equity indices. Global Equity Markets have consistently outperformed cash and other asset classes and remain the biggest asset allocation in many portfolios – large and small. Much of the developed world has transparent, liquid and regulated Stock Exchanges with long established Equity Indices that track the performance of a basket of some of the largest companies within that country. Some countries rich in natural resources have seen their equity markets benefit extensively over the past 50 years from the massive increase in demand for commodities. Other countries have benefited from the massive developments and investment globally in technology. Other countries have benefitted from the massive expansion of financial services around the world for financing and insurance of ever increasing infrastructure projects and acquisitions and wealth management services. Other countries have benefitted from the massive expansion of retailing – particularly in the manufacturing of food, drinks and clothing. Today there are more companies listed on stock exchanges globally than ever before. Almost every single multi national company is listed on at least one stock exchange. The strategy includes core portfolio of long term passive investing in a diverse range of global equity indices but attempts to increase the upside potential by optimising the portfolio asset allocation - using statistical quantitative analysis of individual indices annualised returns and volatility in order to gain more from individual “hot” indices. The strategy also attempts to protect the downside by optimising the portfolio asset allocation – using statistical quantitative analysis of individual index annualised returns and volatility. Long term strategic positions are complimented by satellite portfolio which also attempts to monitor global money cash flows of major central banks to build a strategic picture in terms of global asset allocation weightings. Shorter term trades including the use of options to buy downside protection and increase upside potential intending to lower volatility, enhance returns and reduce overall portfolio correlation can be used. The Prestige Managed Index team consists of a diverse group of seasoned investment professionals who, between them have many decades of experience in Investment Banking, Stock Broking, Private Equity, Hedge Fund Management and other Alternative Investments. The team is able to draw upon a wealth of relationships, research and background due diligence capabilities, both in terms of quantitative and qualitative related issues. HIGHLIGHTS Invests globally in a diversified portfolio of equity indices Attempts to reduce downside risk but maintain upside potential Attempts to monitor global money cash flows of major central banks Only operates transparent, liquid, exchange traded – regulated equity markets Annualised returns have consistently outperformed cash Target capital appreciation (10% - 12% p.a.) E-mail us now to get prospectus and fact sheet for this fund |
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