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  • PruLev Global Macro Fund- Class C

    PruLev Global Macro Fund is a Global Quantitative Macro Hedge Fund in Singapore. It tracks 100 derivative instruments across major liquid markets and usually has positions in 60-75. Its strategy capitalizes on major events, economic trends and other systemic factors. It targets 30-36% IRR with equivalent volatility and a Sharpe ratio of 1 to 1.2. Maximum monthly drawdown has been over 35%. Redemption Fees are imposed to ensure investors recognise the implicit monthly volatility in the fund

    Very High Risk 2-5 years
    21.51%
    31.94%
    $
  • Alpha Quest Active Equity Strategy

    AQ Active Equity Strategy invests in Global Equities on a Long/Short basis to deliver attractive risk adjusted returns. It is country and sector agnostic, providing flexibility to generate ideas without bias towards a specific industry, region or theme.
    Investment process uses Quantamental approach to generate ideas and robust risk management tools to run optimal portfolio mix
    Strategy targets mid-teen returns with lower volatility vs Benchmark (VT)

    Very High Risk 2-5 years
    59.53%
    28.74%
    $
  • Polen Capital Focus U.S. Growth Fund A Class

    Polen Capital Focus U.S. Growth Fund is a segregated Irish authorised UCIT that invests in a focused portfolio of approx. 20 high-quality Growth large cap (>USD4b) US listed companies. Its actively managed with low portfolio turnover and seeks to outperform the Russell 1000 Growth. It uses fundamental analysis to identify companies with a sustainable competitive advantage. It is more suitable for investors with a long-term investment horizon willing to accept a moderate volatility.

    Very High Risk 2-5 years
    30.29%
    23.71%
    $
  • G2 Fund

    GNP G 2 Fund is a Cayman Registered Fund with targeted annual absolute return >15%. It has only had one negative year since inception and is uncorrelated with other asset classes. It's a discretionary macro hedge fund trading in global exchange traded instruments. It has founder money and implements strict risk management to limit volatility to <10% and monthly drawdowns to <5%. The CIO has over 35yrs of money management experience in global macro markets

    Very High Risk 2-5 years
    32.39%
    17.64%
    $
  • Aurigin Long Short Fund

    Aurigin Fund is a Caymans Islands registered Discretionary long-short Hedge Fund focused on India/ Asia. It can use upto 2.5X leverage and uses derivatives. The objective is to trade a basket of uncorrelated low-downside trades based on fundamental research to capture the best risk-reward opportunities and capitalise on inefficiencies in relative pricing of various financial instruments across capital structure. It targets to generate 15-20% p.a. returns over a market cycle. It has not had a negative year of returns since inception. However, it is volatile and has had significant monthly drawdown.

    Very High Risk 2-5 years
    33.51%
    16.71%
    $
  • Blackoak Investors LP Class A

    BlackOak is a UK Alternative Investment Fund seeking long term capital growth through acquisition & trading of life insurance policies (“Life Settlements”) issued by highly rated life insurers. It targets 10-15% IRR with low volatility. It has a diversified portfolio across carrier concentration (Max 15%), life expectancy (<7yrs) and age (>80yrs). It is run by a highly experienced Fund Manager. Meant for medium term investors on account of reduced liquidity of underlying assets.

    Very High Risk 2-5 years
    22.67%
    14.78%
    $
  • Abans Global Arbitrage Opportunities Fund

    Abans Global Arbitrage Opportunities Fund is a Mauritius registered Discretionary Commodities Hedge Fund. It conducts arbitrage transactions across Commodities and Currencies traded on global exchanges. It targets to generate 10% p.a. consistent returns with low volatility and drawdowns. It has not had a negative year of returns since inception. As a result, the fund volatility is low and the Sharpe ratio among the highest on our platform.

    Very High Risk 2-5 years
    6.95%
    8.19%
    $
  • Ariana Global Arbitrage Fund

    Ariana Global Arbitrage Fund is a Caymans Islands registered Discretionary Macro Hedge Fund. It focuses on arbitrage strategies in FX, commodities, rates and volatility through active market making and spread driven trading. It targets to generate 10% p.a. consistent returns with low volatility and drawdowns. It has not had a negative year of returns since inception. As a result the volatility is low and the Sharpe ratio among the highest on our platform.

    Very High Risk 2-5 years
    9.11%
    7.34%
    $
  • Nuvest JN Asia Infrastructure Fund

    The investment objective of this fund is to earn a superior risk adjusted total return through a mix of long term capital appreciation and cash yield by investing in infrastructure companies across the Asia-Pacific universe using an index-unconstrained concentrated portfolio approach. This strategy is ideal for investors looking to gain exposure to infrastructure companies and have a long term time horizon. This fund is managed by Nuvest Capital.

    High Risk 2-5 years
    6.41%
    6.75%
    $
  • Ask India Opportunities Fund

    The ASK India Opportunities Fund 1 aims to generate long-term returns by investing in well managed, entrepreneurially driven, high quality Indian companies with the ability to generate compounded earnings growth over long periods of time. The Fund uses a disciplined, bottom-up, rules-based investment approach to identify such companies that are trading at reasonable prices compared to their intrinsic value. The Fund aims to preserve capital and grow it over a period of time.

    Very High Risk 2-5 years
    13.97%
    5.76%
    $
  • AVM Global Opportunity Fund

    AVM Global Opportunity Fund is an MAS licensed Discretionary Hedge Fund. It operates in liquid markets and instruments and delivers uncorrelated returns, with a strong focus on capital preservation. It combines fundamental research with a systematic investment process to deliver 10-15% IRR. Ashvin Murthy founded this fund in Nov 2016 after over a decade of experience trading complex derivatives for UBS in SG/ London/ Zurich and Natixis HK.

    Very High Risk 2-5 years
    10.78%
    5.58%
    $
  • Progress India Opportunities Fund

    PIOF is a USD denominated Long Only absolute return India equities fund with a differentiated strategy, focused on the most secular part of Indias story the rise of consumer spending. The Funds objective is to offer sustainable alpha over the long term. PIOF is managed by Progress Asia Capital Advisors Pte Ltd which is incorporated in Singapore and regulated by the Monetary Authority of Singapore (as a Registered Fund Management Company).

    Very High Risk 2-5 years
    11.84%
    4.80%
    $
  • Kotak India Midcap Fund

    The investment objective of this Kristal is to achieve long term capital appreciation by primarily investing at least two thirds of its total assets in equity and equity-linked securities of mid-capitalization companies registered in India or deriving a significant portion of their business from India. The strategy is managed by Kotak Mahindra Asset Management which is a MAS regulated Asset Management Company. This strategy is ideal for investors looking to gain exposure to mid-cap Indian equities.

    High Risk 2-5 years
    9.99%
    2.90%
    $
  • Silverdale Bond Fund 1C (Dividend)

    Silverdale Bond Fund is a long only leveraged Fixed Income fund incorporate in Cayman Islands. It is actively managed and invests primarily in Asian emerging markets investment grade (min 75%) US Dollar bonds. The portfolio is well diversified (max exposure <5%) and short duration (<2yrs). It uses leverage (upto 2X) to enhance IRR to 8-10% p.a. and offers weekly liquidity though they have the right to restrict redemptions in adverse circumstances. It has a 10yr track record.

    High Risk 2-5 years
    -0.32%
    2.33%
    $
  • Kotak India Fixed Income Fund

    Incorporated in Luxembourg, the fund is managed by Kotak Mahindra Asset Management which is a MAS regulated AMC. Fund’s objective is to generate return by investing in debt securities issued by central / state governments or those issued by Indian origin corporates deriving significant business from India. Majority of the fund’s holdings are held in Sovereign or AAA rated debt. Investors should consider this fund as an investment with a medium to long term investment horizon

    Medium Risk 2-5 years
    4.34%
    1.98%
    $
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We are licensed in Singapore, Hong Kong, and India. Kristal Advisors (SG) Pte. Ltd. (CMS100614-4) presently operates under the CMS license by the Monetary Authority of Singapore (MAS). Kristal Advisors (HK) Ltd. (BHZ135) is licensed and regulated by the Securities and Futures Commission to carry out Type 4 and Type 9 regulated activities and is not involved in the discretionary management of any collective investment scheme. Kristal Advisors Private Ltd. (INA100006852) presently operates as a Registered Investment Advisor under the jurisdiction of the Securities and Exchange Board of India. Kristal, its affiliates and/or its employees may hold positions in the assets discussed herein.

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