GAM Global Rates Hedge Fund

GBP

Fund Investment Objectives

This Global Macro strategy focuses primarily on fixed income and currency markets and looks to build a diversified primarily directional portfolio of fixed income and currency positions. - Portfolio of Fixed Income and Currency Strategies - Top Down Approach used - Traditional Bonds & FX, Futures, Options, Swaps and Swaptions - 80% G13 and 20% Emerging Market and Credit by risk - Low correlation with equity and fixed income markets - Looking to deliver Libor plus 15% per annum.