Global Multi-Asset Strategy
A Comprehensive multi-asset strategy that aims to provide income distribution and long-term capital growth.
The strategy is actively managed, high conviction portfolio driven by proprietary fundamental framework
approach that focuses on global equities and debt securities.
Renowned for its downside protection, liquidity and transparency, the strategy is one of the
very few that recorded a positive return during the 2020 COVID-19 bear market.
Please note that the Fund will not accept subscription from any investor. For details, please refer to the “Notice to Unit holders (9 January 2026)” posted under section Documents.