Reach beyond traditional fixed income
The fund’s absolute return, benchmark-agnostic approach seeks to produce uncorrelated, low-volatility returns regardless of the market environment.
The portfolio accesses diverse sources of return from traditional, alternative and private fixed income markets by
investing opportunistically across directional, non-directional and hedging strategies.
Expertise: Lead portfolio manager Bill Eigen maximises the insights of his team of absolute return investors with niche market expertise.
Portfolio: With its focus on providing uncorrelated, low volatility returns, this benchmark-agnostic fund may act as a diversifier to traditional fixed income, a hedged credit option or an alternative strategy.
Success: Has produced compelling results in periods of market volatility and has demonstrated a low correlation to traditional fixed income.
Past performance is not a reliable indicator of current and future results.