The aim of the Fund is to actively manage a portfolio with the objective of matching a liability profiles key risks (cashflows, duration, convexity), using propriety modelling software.
The aim of the Fund is to actively manage a portfolio with the objective of matching a liability profiles key risks (cashflows, duration, convexity), using propriety modelling software.
| Inception date | October 1991 | |
| Benchmark | Customised benchmark. Liability aware and determined by client. | |
| Management fee | Negotiable |
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| Performance fee | Nil | |
| Buy/Sell spread | Nil | |
| Minimum investment | Negotiable | |
| Investment approach |
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| Risks | Risks specific to investments in fixed income instruments may include:
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