Managed Multi-Strategy FX
FX has historically been the preserve of major institutions, prop desks or niche traders.
An allocation to FX may be a valuable diversification to any portfolio.
Key benefits of this product includes:
- Custody with Citibank – clients hold accounts directly with
Citibank
- Risk averse approach – the FX market is highly liquid,
offering freedom to enter or exit the market at anytime
- Absolute uncorrelated returns irrespective of equity or bond
markets
- Instant liquidity – the FX markets are highly liquid, offering
freedom to enter or exit the market at any time. This gives investors instant
access to their funds as their positions can be closed immediately if required
- Low fees – no annual or exit fees and no ongoing management charges.
Trading the FX market offers significantly lower transactional costs than the equity market equivalent
- Leverage option - the standard portfolio is run on an unleveraged basis, although investors having
an appetite for greater risk, have the option of utilising leverage up to five
times on their account
Risk Warning: Though absolute return strategies are designed to deliver consistent and positive returns in all market conditions, performance cannot be guaranteed. The value in a multi-strategy managed account may fall as well as rise and your capital is at risk. The use of leverage can magnify both risks and rewards. Accordingly, such investments should be considered high risk and they are not suitable for everybody.