The Dymon Asia Multi-Strategy Investment Fund (MSIF) seeks to generate absolute consistent uncorrelated returns with 5% volatility by allocating capital to a diversified group of dedicated portfolio manager specialists across different asset classes which include FX, Fixed Income/Rates, Equities, Credit and Commodities. Notional capital will be allocated to the respective portfolio managers, each of whom has a designated area of expertise. The structure is designed for there to be no significant overweight allocation to any individual portfolio manager to generate alpha from multiple sources.
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