The Swiss Hedge Capital AG manages long/short pan-European equity funds with an active trading strategy pursuing a strict absolute-return approach that has no or negative correlation to traditional benchmarks. All funds are managed 'pari passu'. Investments are made pre-dominantly in large caps and highly liquid stocks based on momentum-driven trades primarily driven by corporate news and/or chart technical signals. The track record of outstanding trading discipline allows Swiss Hedge Capital AG to limit the volatility of the funds. The conservative underlying strategy is to generate sustainable positive performance with absolutely no leverage. AUM reflects the aggregrate of all share classes and is reported in CHF.