The fund aims to produce consistent returns via a stockpicking approach and seeks to generate alpha on both the long and short book. It aims to limit drawdowns and contain volatility through active balance sheet management and disciplined risk management. The fund has an equity long/short strategy investing in Japan. The gross exposure range is +60% to +200% and the net exposure range is -20% to +75%. AUM reflects the aggregate of the various share classes and is denominated in USD and minimum investment is reported in relevant share class denomination.