GLG Atlas Macro Alternative (the Fund) seeks to provide investors with substantial returns through investments from a wide range of macroeconomic opportunities in the global financial markets. The Fund will seek to select the best possible investments from a wide range of macroeconomic opportunities principally in the G8 countries and emerging markets. The Fund's policy is to achieve those returns through a strategy of investing and trading in equities, indices, currencies, fixed income instruments, commodities and other asset classes. It is anticipated that the Fund will invest primarily in liquid instruments. The Fund aims to deliver absolute returns in any market conditions on a rolling 12 month timeframe. AUM reflects the aggregate of the various share classes and is denominated in USD.