This is our flagship investment fund, and it captures what we believe to be the most attractive risk adjusted returns across a broad universe of performing instruments – spanning equities, high yield bonds and structured products amongst. The fund investment strategy seeks to deliver double-digit net returns through prudential, bottom-up security selection, attaining alpha through assets that can compound returns and those that can improve returns. Thus, we derive investment performance from a combination of variables that include a disciplined approach to valuation, robust research and unfailing faith on contrarianism.
