The Fund is a global macro/volatility hybrid strategy which aims to achieve a 15%-25% return per annum with commensurate risk over a medium to long term investment period. It is designed to perform well in all market environments as the Fund Managers have developed an edge in identifying mis-valued assets whilst maintaining a mix of bullish and bearish positions. AUM reflects the aggregate of the various share classes and is denominated in USD. Minimum Investment is in EUR. Please contact firm for prior track record regarding the Kohinoor strategy.