Five alternative investment funds have been selected, by a jury panel to compete in The AIF Factor, organised by ABN Amro Clearing.

All finalists had to do a 3 minutes pitch to present their strategy and then delegates voted to elect the “AIF Factor Winner for 2017”.

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Key points

Discretionary Macro

Low correlation to equity and fixed income asset classes providing an uncorrelated return to traditional assets.
Focus on absolute return: capital preservation is at the heart of what we do.
Experienced team with long tenure.

Systematic Macro

Diversification – low correlation to traditional asset classes.
Innovative cross-fertilisation of techniques to profit both from trend and reversion factors.
Highly experienced team with a long history of collaboration.

Tactical Fixed-Income Relative Value

Low volatility and highly liquid.
No credit and duration neutral.
Significant negative correlation to traditional fixed income.