Our Managers.

We act for a limited number of manager mandates that are conflict-free and complimentary to our offering.

We select managers whose strategy is differentiated and uncorrelated within their peer group and to traditional markets.

We look for investment teams of the highest quality with an established track record and with a solid framework for risk management.

We conduct extensive due diligence on each candidate.

We work with managers who offer a high level of transparency and assure good communications with investors.

Current strategies are:

 

Event Driven Equities Fund

Focus on European large and medium-sized Merger Arb, Spac arb, Spin-offs & Restructurings

Discretionary Global Macro Relative Value

Capitalising on inefficiencies & dislocations in financial markets

Global Listed Private Equity

The fund delivers private equity like returns with public market liquidity across the full spectrum of listed Private Equity, Private Debt and Alternative Asset managers

 

Global Private Debt.

investing in global financing and direct lending opportunities such as micro, trade financing & bridging finance across developed and emerging markets

Insurance Linked Securities (ILS ).

Strategies cover Catastrophe bonds, private reinsurance & specialised retrocessions

Residential Mortgage Backed Securities

the manager identifies opportunities in non-agency RMBS where mispricing occurs due to technical, legal or structural issues

 

“Buy when most people, including experts, are pessimistic and sell when they are actively optimistic”.

- Benjamin Graham