The Fund seeks to achieve medium to long-term capital appreciation by deploying assets among a selected group of managers mostly pursuing alternative investment strategies. The Fund seeks to generate high quality risk-adjusted returns with low to no correlation to traditional investments such as equities. The Fund has a strategic allocation to managed futures strategies that provide interesting diversification benefits thanks to favorable correlation characteristics. Remainder of the portfolio to be dynamically and opportunistically allocated to long/short, event-driven and relative value strategies and/or listed alternative vehicles. AUM reflects the aggregate of all share classes and is denominated in USD.