The Dual Momentum Fund

The Dual Momentum Fund uses a robust and back-tested quantitative strategy to identify investment opportunities expected to provide both positive price appreciation and relative price outperformance over the medium to long term.

Investment opportunities and risks are rigorously managed by using sophisticated money management principles that engage with the potential profitability of an investment, while managing the exposure to those factors which are out of all investors’ control (such as the volatility and uncertainty inherent in all capital markets).

The Fund invests on a long-only basis and does not use derivatives.

Please note: All investors should seek their own investment and tax advice. No rate of return is guaranteed. The unit price of the Fund may rise or fall.

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