AJD Fund2018-10-11T10:36:42+00:00


Investment Strategy

The fund invests in a portfolio of diversified strategies with the aim to achieve positive returns over a rolling 12 months horizon. The manager believes that controlling risk is key to investment success. This involves in particular the adoption of risk measures which aim at mitigating large drawdowns and prolonged periods of negative compounding returns.

0 $
Minimum Investment
0 %
Inception to date return
0 $
Assets under Management
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