THE ECU GLOBAL MACRO FUND

Strategy

Discretionary - Directional - Thematic

The fund has a global macro focus with positions taken in FX, fixed income, equity indices and commodities.  There is no bias and no portfolio constraints other than risk management.  The investment methodology combines global, regional, country and sector views to create a diversified portfolio without a dependency on any single market view.

 

Objectives

To generate positive absolute returns in excess of 10% in all market conditions with an acceptable level of risk.

  Key Facts

FOR MORE INFO

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