The Fund's primary investment objective is to generate attractive levels of return well in excess of the return that can be achieved from global equity markets by investing in a range of asset types and asset classes which should benefit at any time from repricing and recovery in discounted or distressed assets and from global economic growth. In attempting to generate superior investment returns, the Fund will invest primarily in investment entities managed by other investment managers selected for their skills, style and appropriateness, but may also use derivative structures.
The Fund will seek to achieve investment returns 15-20% per annum after fees over a rolling 36 month time horizon, with an annualised standard deviation of 12-15%. The Fund will be managed primarily to achieve high levels of return rather than manage volatility.
The Fund will seek ordinarily to hold a relatively concentrated, yet diversified, portfolio of underlying investment securities or funds across a range of asset classes, alternative investments and investment styles. The Fund's investment time horizon is medium to long term. Investments will be selected both for their ability to generate attractive, risk-adjusted returns and based on the interaction of their individual investment and risk characteristics with the other holdings of the Fund. The Fund will not impose any limits upon which asset classes may be utilised or concentration limits for any asset class as it will seek to be strategic, "best-ideas" fund seeking to garner significant return opportunities.
The Fund has a structured investment process which ensures consistent and high level research analysis. Extensive due diligence is applied to all managers selected for investment. The investment process also contains a disciplined allocation framework to pro-actively manage exposures to underlying strategies and individual funds.
The Fund will invest in funds and markets on a global basis. Depending upon the market outlook, it may seek to utilise currency hedging activities to seek to limit volatility.
The Fund will seek ordinarily to avoid investing in funds with lock-ins or have long notice periods for liquidation.
TRADING HOURS | LOCATION |
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08:30-09:00 Price Discovery | Exchange House |
09:00-16:30 Continuous Trading | 110 Pitts Bay Road |
Pembroke, Bermuda | |
CONTACT DETAILS | MAILING ADDRESS |
TEL: +1 (441) 292 7212 | P.O. Box HM 1369 |
FAX: +1 (441) 292 7619 | Hamilton HMFX |
Contact Us (info@bsx.com) |
DISCLAIMER |
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The information contained in these pages has been obtained from sources which The Bermuda Stock Exchange believes are reliable. However, the accuracy of the information cannot and is not guaranteed and The Bermuda Stock Exchange makes no representation as to its accuracy or completeness. Neither this Web site, nor any information contained herein, constitutes advice or a solicitation to subscribe, purchase or sell any securities. The Bermuda Stock Exchange expressly disclaims any liability whatsoever for any loss howsoever arising from or in reliance upon any part of the contents of this site or any external sites referenced from this website. |