The Galaxy China Opportunities Fund aims at producing attractive and consistent investment returns with controlled downside volatility by investing in the equity markets in Greater China, including Mainland China, Hong Kong and Taiwan. The Fund employs a Long/Short equity investment strategy which is subdivided into three sub-strategies (Thematic L/S, Relative Value L/S, and Opportunistic).
Thematic L/S is a top down and then bottoms up approach that picks the right investment themes, sectors and stocks in the market. Relative Value L/S is a relative value approach that picks the outperformers and underperformers within a
certain sector. Opportunistic is an approach that benefits from short term market opportunities like IPOs and short term trading. The Fund is actively managed with relatively high turnover. AUM is not disclosed.