Generating consistent uncorrelated returns by allocating capital to diversified PM specialists.
Our Multi-Strategy Investment Fund (MSIF) is an Asia-focused multi-manager fund that provides uncorrelated returns from both emerging and developed markets. The fund aims to produce consistent returns with relatively low volatility through a varied basket of strategies, including fundamental equity long/short, relative value, and macro.
We allocate capital to a diversified group of dedicated PM specialists across different asset classes.
We offer tailored investment strategies, from hands-on management to data-driven approaches.
Contact us today to learn more about our investment strategy and opportunities.