Real Money Real Returns
Absolute Returns Mandate
The flagship offering of the firm is grounded in a multi-asset invesment approach. Its global and opportunistic focus works on reducing risk while widening the scope of opportunities.
Unlike the vast majority of funds that go bust the moment that markets turn sour, our Robust Portfolio Management approach has stood the test of time and market crashes. Now in its 10th year of uninterrupted management, and as pioneers of Robust Portfolio Management, we continue to operate, hone, and refine our approach to bring out the best of what the investment world has to offer.