AWJ GSF seeks to generate absolute, risk-adjusted returns which, over a full market cycle, exceed the MSCI World Index with lower volatility. AWJ GSF predominantly invests its capital with long/short and long only equity hedge funds who focus their fundamental analysis on securities in water, agriculture and energy efficiency areas. AWJ GSF is focused on companies solving for the issues associated with burdened resources (water/ag/energy) born of population growth, exploding size of the global middle class and move toward higher protein diets. AWJ GSF's portfolio is globally defined: typically 60% U.S., 20% Europe, and 20% Asia. AWJ GSF's portfolio is typically 30-60% net long.