Similar to the Absolute Return Fund, the Absolute Plus Fund also focuses selectively on takeover and corporate activity to create highly attractive investment and non-market dependent returns but employs a slightly higher risk profile.
As a result, this fund would suit those investors who are looking to protect themselves from market linked volatility but are willing to accept slightly higher risk (as compared to the Absolute Return Fund) in order to potentially achieve higher returns.
As a wholesale fund, only those investors who meet the sophisticated investor criteria are eligible to invest in this fund. For more information on eligibility click here.
Those looking to protect their wealth from increases in market volatility who invest in the Absolute Plus Fund may benefit from:
- Returns that are not based on a directional bias. Our investment decisions are made independent of speculations on market direction.
- Definable and rigid risk controls. This mitigates the likelihood of broad-based market events affecting your investment.
- No requirement to be fully or even partially invested at all times, meaning we can wait for opportunities to present themselves before placing your capital at risk. If we are invested in a position, we fully believe that it is a great opportunity.