Estrategia del fondo
The Portfolio seeks to provide long term capital appreciation with expected lower correlation to traditional asset classes. The Investment Manager will utilize a wide range of alternative risk premia to achieve what it considers to be an optimally diversified portfolio with lower correlation to traditional asset classes whilst also seeking to moderate volatility. Alternative risk premia are investment strategies that aim to capture returns from non-traditional risks. These are called the risk premia strategies and could include without limitation the following premia that provide exposure to alternative strategies including Long/Short Equity, Equity Market Neutral, Event Driven, Relative Value/Credit, and Macro.
Evolución
Comisiones
Rentabilidades
Detalles del fondo
Distribución Geográfica
Distribución de cartera en las distintas regiones geográficas.
Estados Unidos de América | 76,46% | |
Reino Unido | 11,26% | |
Canadá | 4,46% | |
Suiza | 3,37% | |
Países Bajos | 2,92% | |
Jersey | 2,55% | |
Israel | 2,40% | |
Taiwán | 1,65% | |
Irlanda | 1,39% | |
Francia | 0,86% |
Por inversiones
Distribución de las inversiones de este fondo.
United States Of America 14-jul-2022 | 3,36% |
Rogers Corp Ord | 2,60% |
Activision Blizzard Inc Ord | 2,60% |
Sanne Group Plc Ord | 2,55% |
Welbilt Inc Ord | 2,53% |
Lhc Group Inc Ord | 2,53% |
Shaw Communications Inc Ord | 2,52% |
Change Healthcare Inc Ord | 2,51% |
First Horizon Corp Ord | 2,45% |
Alleghany Corp Ord | 2,41% |
Por sectores
Distribución de las posiciones de este fondo según el sector al que corresponden.
Technology | 29,21% |
Financials | 22,35% |
Industrials | 13,21% |
Healthcare | 11,62% |
Consumer Cyclicals | 6,90% |
Consumer Non-cyclicals | 4,87% |
Telecommunications Services | 4,38% |
Basic Materials | 3,18% |
Utilities | 3,05% |
Energy | 2,19% |