Hedge Fund Strategy
Global Evolution offers both pooled emerging markets hedge funds as well as segregated solutions to institutional investors based on both predefined or jointly defined investment guidelines and return, risk and correlation objectives. Global Evolution offers an unusual high degree of transparency and liquidity and has furthermore designed a hedge fund setup with independent custodian, administrator, prime broker and well known auditor and lawyer to protect investors and achieve a best practice setup.
Investment Objective
The investment objective of our emerging markets hedge fund strategy is to maximise absolute returns by utilizing a selection of strategies within emerging markets debt, equity and FX and with a specific focus on frontier markets.
Multi Strategy Edge
Driven by a macro, top-down approach, we aim to take advantage of opportunities created by market inefficiencies within/between asset classes in emerging markets. Each of the hedge fund principal’s asset class expertise is effectively used by distributing risk (measured as our volatility target) throughout emerging markets globally across Fixed Income, Equities & FX in 14 different pre-defined strategies. These strategies embrace our macro views through outright and relative value ideas within/across assets/regions. This enables the fund to achieve a unique rate of diversification which results in returns that have a low correlation to the rest of the market.
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