Our product range encompasses a number of strategies including:
We can provide both segregated and pooled offerings across our range.
We believe in proprietary fundamental research as a way of uncovering opportunities.
Investors can gain significant diversification benefits through a multi-strategy approach, combined with an understanding of how those strategies come together to represent overall portfolio risk.
We also believe that a strong risk framework is needed for sustainable above benchmark returns to be achieved. The risk framework permeates every level of our investment process and business – from individual strategy formulation, through to trade execution, and ultimately to overall portfolio risk positioning.
To read about individual fund objectives, and to see the manager’s monthly report, click on the fund name.
| Fund | Fund Range | Growth or Income | Distributions | Performance | Factsheet |
|---|---|---|---|---|---|
| Aberdeen Global II - Australian Dollar Bond Fund | Aberdeen Global II | Growth | 31 Dec 30 Jun |
|