Funds

Overview

Investment Objective

The investment objective of this sub-fund is to deliver capital appreciation for
shareholders within a controlled risk framework.

Investment Strategies

The fund manager employs a fundamentals-driven approach, conducting macro-level analysis to gauge market risk appetite and execute market timing strategies, with a dedicated focus on generating absolute returns. The portfolio construction mechanism involves utilizing a range of derivatives to construct tactical offensive and defensive positions across varying market cycles, allocating sub-fund assets across diversified investment instruments in multiple markets. These include but are not limited to listed equities, fixed income securities, currencies, options, futures, and other derivative instruments across capital markets to achieve the fund’s investment goals.

Fund Facts

Domicile
Singapore
Portfolio Manager
ZHAI YAO
Fund Launch Date
May 2025
Investment Manager
Penco Capital Management Private Limited
Asset Class
Bonds
Country and/or Industry Focus
Hong Kong, US

Partners

Custodian
Administrator
Auditor
Bayfront Law

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Disclaimer

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The risk of loss in trading financial instruments can be substantial. Investors should be aware that any investment involves a high degree of risk, including the loss of the entire amount invested. Past performance is not necessarily indicative of future results and the value of an investment may fall as well as rise. The high degrees of leverage that are often employed in trading financial instruments can quickly lead to large losses as well as large gains. Investors should therefore carefully consider whether such an investment is suitable in light of their financial condition.