The Fund’s Investment strategy aims at providing investors with exposure to the long term capital appreciation of blockchain technology related investments while reducing volatility through portfolio diversification.
The Fund maintains a long term exposure on various blockchain markets and sub-strategies to avoid excessive single asset concentration or counter party risk. The Fund is expected to create value through its asset allocation process, selection of investments and risk management. The Fund mainly invest in a portfolio of specialized blockchain related funds, meeting a list of eligible investment criteria set by the Investment Team.
While cryptocurrencies will represent a high proportion of the Fund’s asset allocation, the Fund will pursue a multi strategy and multi managers approach to reduce risk.
A robust approach to an emerging asset class
Blockchain strategies fund has been created to provide a holistic approach and more
diversified investment to those looking to access the world’s
fastest growing asset class.