The BSI - Multinvest - Alternative UCITS Fund is characterised by a multi-strategy approach and global geographical exposure, including Emerging Markets. The range of strategies includes Equity Long/Short, Macro Strategies, Managed Futures, Fixed Income, Credit, Convertible Bonds, Event Driven, Market Neutral. The fund invests mainly in UCITS III funds replicating hedge fund strategies with daily, weekly or fortnightly liquidity. The underlying funds can invest in forex, equity and credit instruments. Derivatives can be used only for hedging purposes. The fund, which
is Luxembourg domiciled, is available in a EUR share class and offers fortnightly liquidity with five days notice. The Fund incepted July 30, 2010.