A hedge fund for high alpha opportunities in the fixed income space

The Fund pursues opportunistic, directional, relative value, correlation and volatility strategies in the South African fixed income, FX and related derivative markets.

Why choose this fund?

  • The fund provides an investment that is uncorrelated to traditional asset classes.
  • The fund is appropriate for a high risk tolerance as it exhibits high volatility.
  • The fund is classified as a Collective Investment Scheme, in particular a retail hedge fund, and is therefore regulated.
  • Return objective is Cash + 8% over rolling 3-year periods.