Adiuvat Investment Fund strives to distribute superior risk-adjusted returns measured in US Dollars with an emphasis on capital appreciation. The Fund focuses on value creation, investing in good growth enterprises with strong management teams. We have a disciplined investment approach driven by experienced emerging market investment managers.
Adiuvat believes in a standardized approach to create a unique investment strategy. Adiuvat’s Investment Manager creates a mixed and well balanced approach based on defined risk criteria which include liquid and flexible investment opportunities that provide growth and/or risk adjusted high yield fixed income.
The Fund aims to deliver consistent risk-adjusted returns throughout the economic cycle while focusing on capital preservation. With the right combination of investment insights and quantitative tools we can increase returns on client portfolios.
The Fund’s investment process combines top-down and bottom-up analysis to identify event driven opportunities. We do this in conjunction with a detailed step-by-step approach to risk management and with our institutional-quality infrastructure.
The flexibility of having long and short event exposure across the capital structure enables us to attempt to optimize performance across market cycles. Adiuvat believes that active management is an intrinsically dynamic activity. What worked in the past may work less well, if at all, in the future. To this end, the Fund continually reinvests in research and infrastructure in order to maintain sustainable sources of competitive advantage and alpha.