United Asset Management
 
 
 
strategy

Objectives of the Fund
The objective of the fund is to achieve positive long term capital growth combined with a need for a higher level of stability. The fund achieves its investment objectives by investing in a diversified range of global equity funds (varies between 50% and 100%) and will have the flexibility to invest in international fixed - interest funds. These funds are denominated in EUR, STG and USD.

Investment process
A multi-manager investment process provides each investor with a range of managers who are recognised as being amongst the best fund managers available globally. Delivery of above average benchmark returns is achieved by manager selection, manager blending and continuous management monitoring.

Investment strategy
A multi-manager investment strategy involves allocating both the appropriate timing and positioning of 3rd party fund managers who are selected by the investment adviser based on the need for producing consistent superior returns and who together are most likely to achieve the overall objectives of the fund. While the funds chosen will be diversfied they will also often be complimentary in their investment styles.

 

Objectives of the Fund
The objective of the fund is to achieve positive long term capital growth within emerging markets combined with the need for a higher level of stability. The fund intends to achieve its investment objective by investing in a selection of Emerging Market Funds throughout the world (including but not limited to Central and South America, the Caribbean, Asia, Eastern Europe and the territory of the former USSR). The fund mandate also allows for an exposure to alternative strategy funds. These funds are denominated in EUR, STG and USD.

Investment process
A multi-manager investment process provides each investor with a range of managers who are recognised as being amongst the best fund managers available globally. Delivery of above average benchmark returns is achieved by manager selection, manager blending and continuous management monitoring.

Investment strategy
A multi-manager investment strategy involves allocating both the appropriate timing and positioning of 3rd party fund managers who are selected by the investment adviser based on the need for producing consistent superior returns and who together are most likely to achieve the overall objectives of the fund. While the funds chosen will be diversfied they will also often be complimentary in their investment styles.

   

 

Contact details:

UNITED ASSET MANAGEMENT SARL
4 Rue du Lac, CH1897 Le Bouveret, Switzerland

Tel: +41 445807415
Fax: +41 434302184
Email: info@uam-sarl.com