Investment Objectives

  • Generate returns over the long term regardless of market direction
  • Grow investors' capital over the long term
  • Reduce volatility of returns by managing the risks associated with investing in unlisted equities
  • This is a high-risk fund that aims to progressively outperform inflation
  • It is predominantly invested in companies not listed on a public stock exchange
  • Through their low correlation with other asset classes, private equity funds have the potential to outperform traditional asset classes over the long term and to provide diversification for the sophisticated investor

Investment Strategy

The Fund's investment strategy provides investors with exposure to alternative asset classes not generally accessible to the retail investor. The fund is diversified across a range of alternative asset classes utilising a multi-manager approach whereby fund managers are combined on their skills and expertise in different alternative asset classes.

Private Debt Focus: Providing investors with a unique entry point to private debt markets which are traditionally difficult to access. Participate in the funding of procurement orders which are highly securitized and are backed by procurement contracts to government and other entities.

The Fund will aim to secure at least 75% of its investments at all times in these alternative asset classes including Private Debt, Private Equity, Multi-Asset Income and Agri-Commodities.