The investment objective of the Company is to maximise absolute returns with moderate volatility. The Fund aims to achieve its investment objective through investments in the securities of high-quality smaller and mid-cap companies which are listed, quoted, or traded on stock exchanges and over-the-counter markets in Asia Ex-Japan. The Fund may also take short positions in order to both reduce and hedge net market exposure and to achieve profit through specific stock sells. The Fund may invest in equity-like securities such as convertible bonds and warrants. The Fund may invest in derivative instruments including, without limitation, futures and options in order to achieve its primary investment objective.
Assets include onshore fund.