Developed by global investment managers to meet different investment strategies, risk tolerance and goals through rigorous research process.
The investment objective of the Fund is to provide long-term above average risk-adjusted returns through investments in US Life Settlements. A Life Settlement is the sale of an existing life insurance policy to a third party for more than its cash surrender value. In a Life Settlement transaction, the policy’s owner transfers ownership of the policy to the buyer in exchange for an immediate payment. Life Settlement policies are acquired in the open market to take on the future premium commitments in exchange for the maturity proceeds. The Fund aims to deliver positive returns at low correlation to traditional markets
14.60%8 Years returns
The DriveWealth ICE 100 Index ETF seeks to provide investment results that, before fees and expenses, track the performance of the DriveWealth ICE 100 Index (the 'Index'). The DriveWealth ICE 100 Index ETF is a rules-based, equal-weighted index that tracks the performance of U.S.-listed Exchange Traded Funds (ETFs). The Index selects the 100 top ETFs based on a methodology that ranks eligible funds according to size, liquidity and risk-adjusted return.
The Blue Ocean Odyssey Fund is an actively managed, equity hedge fund strategy. It aims to drive alpha and deliver attractive rates of return over a one to three-year time horizon through the use of multiple strategies. The Portfolio focuses on developed markets with major emphasis in the United States, United Kingdom and European equities and consists of a concentrated portfolio of our best ideas. The Fund aims to maximize total absolute return, and therefore have a particular interest in securities with short/medium term catalysts and capital appreciation prospects.
23.71%8 years returns
A British Virgin Islands (BVI) established USD 30million (open-ended) sector agnostic fund, managed by ARC Fund Management Limited, as the Investment Manager. The Fund investments will target emerging companies, with higher growth potential and risk to leverage the benefit of the Fund's management team and the Manager's Asian-market expertise.
35%3 years returns