THE HADRON FUND'S INVESTMENT PHILOSOPHY is based on relative value with an event driven focus. Its objective is to generate positive absolute returns through all market conditions and with controlled volatility.
THE INVESTMENT STRATEGY is to exploit bottom-up dislocations and mispricing as well as near-term, catalyst-driven opportunities, usually over a three to six-month time frame, while operating across multiple asset classes - equity, credit and volatility. The Fund maintains a broadly market-neutral approach and has a geographic focus on Western Europe with opportunistic involvement in North America and Asia.
AUM is not disclosed.
Please contact the investment manager for more details.