Our Asset Allocation Group (“AAG”) seeks to capture the Alpha existing in Asia and Japan and to participate in the upside of these markets. The team possesses a strong macro overview and can tactically allocate to certain markets as opportunities present. Through its process and experience, the management team believes it can also protect against the downside arising from major macro shifts, hence targeting a favourable risk adjusted return for investors. Our investment objective is to generate capital appreciation. We invest across different asset classes and may express our investment views by allocating to best of breed external managers.
We have the reputation as “go-to” early stage investors. New managers come to us first. As a result, we pick the best managers.