Aros Paradigm Fund is a discretionary global Macro Fund. The focus is on opportunistic cross asset investing whilst managing tail risk. This is expressed primarily through Equities, Currencies, Volatility, Fixed Income, and their derivatives. Through a range of macro and micro themes our trade strategies are applied with the aim of exploiting opportunities of disequilibrium in the financial markets. The Fund's key objectives are long-term capital appreciation, maintaining a moderate risk level and a high degree of liquidity. AUM reflects the aggregate of the various share classes and is reported in EUR.