The Investment objective of the Diva Synergy Fund Limited is long-term capital appreciation. The underlying investment objective of the Fund is to achieve regular capital appreciation of 15% p.a. with limited volatility. The Fund is designed to provide consistent returns in either bear or bull markets with a continuous aversion to risk and a strict money management discipline in order to preserve capital and realized profits. There can be no assurance that the fund objective will be achieved. Our approach to building our portfolio is to spread our investment over two strategies: event-driven and merger arbitrage. We do not use leverage and adjust our beta exposure to nul. We deploy 30 to 80% of assets to the traditional merger arbitrage strategy and 20 to 70% to hard catalyst pre event strategies. we invest only in Europe and North America. Early redemption fees: Shares redeemed within 12 months from date of subscription - 3%. Shares redeemed within 24 months from date of subscription - 2%. Early redemption fees are paid to the Investment Manager and may be waived at the discretion of the Investment Manager. AUM reflects the aggregate of the various share classes and is denominated in USD.