The objective of the fund is to generate steady returns over a market cycle through a diversified allocation.
To reach the objective through different non-traditional strategies such as Equity Hedge, Global Macro, Systematic/CTA, Event Driven.
Provide stable returns in different market environments through multiple market factors.
To achieve capital appreciation and preservation in the medium term through adaptation to a variety of market conditions and opportunities.
AISM seeks to create positive returns through the integration of environmental, social and governance criteria in its investment process
AISM has developed its internal policies and investment processes to ensure that the companies the funds invest in meet its expectations in terms of sustainability.