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Absolute-Return Fund of Funds

Absolute-return strategies aim to generate positive returns regardless of market conditions.

What Sets These Fund of Funds Apart

The goal is to generate positive returns largely independent of market trends

Absolute-return strategies aim to generate returns independent of market fluctuations in order to reduce dependence on overall market performance.

Focus on Controlled Risks

Absolute-return strategies seek to manage the impact of general market trends and the resulting risks by expanding investment opportunities.

Diversification Across Different Absolute-Return Strategies

By diversifying across different fund managers, strategies, and asset classes, risk can be spread more broadly.

Which fund is right for which investor?

This allows us to categorize our funds of funds based on investor profile, risk tolerance, and investment horizon.

Sauren Global Hedgefonds

Hedge FundsFocusedLong-term

For investors who want to invest in a broadly diversified portfolio of hedge fund strategies.

Risk Indicator Synthetic Risk and Return Indicator (1 = lower risk, 7 = higher risk)
1 2 3 4 5 6 7

Sauren Dynamic Absolute Return

DynamicAbsolute ReturnConcentrated

For opportunity-seeking investors who are looking for returns regardless of market direction.

Risk Indicator Synthetic Risk and Return Indicator (1 = lower risk, 7 = higher risk)
1 2 3 4 5 6 7

Sauren Absolute Return

DefensiveAbsolute ReturnMarket-Neutral

For investors seeking stable returns regardless of market trends.

Risk Indicator Synthetic Risk and Return Indicator (1 = lower risk, 7 = higher risk)
1 2 3 4 5 6 7

Let's talk

Whether you're a distribution partner or an investor, we'll answer your questions about our approach, our funds, and their classification, and show you how we make decisions.

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