Investment Overview
Strategy Description
The Fund’s objective is to provide consistent, uncorrelated absolute returns with low volatility in all market environments. The fund aims to achieve this via application of a multi-strategy multi-manager investment program that seeks to combine non-correlated, superior risk-adjusted strategies into a comprehensive portfolio, with further operational and structural alphas obtained by leveraging ARB’s vast trading infrastructure and market acumen. We specialize in finding and
cultivating niche, moderate capacity strategies trading various products.