SkyBridge Multi-Adviser

Fund Investment Objectives

SkyBridge believes that a fund of funds manager must employ a repeatable investment process to achieve risk‐adjusted return targets and to preserve capital. SkyBridge takes an active and multi‐dimensional approach to portfolio construction, focusing on non‐correlated risk exposures, and seeks to minimize volatility and maximize return. Investments are supported by risk management, operational due diligence and an ongoing monitoring process.