Alternative Investment Funds
Alternative funds present investors with an attractive risk/return profile as portfolio management seeks to reduce the impacts of volatility. Asset allocations are developed to minimize the levels of correlation to traditional asset classes, such as equities, fixed income and cash, thereby participating in areas of the economy that are least affected by mainstream market conditions.
Alternative fund strategies
National AIM offers a broad range of alternative investment capabilities, providing access to hedge strategies, real assets, private equity placements and secondary market transactions.
Our alternative fund strategies leverage on our global reach as we seek to identify uncorrelated return sources as part of a larger portfolio diversification process.
Understanding that each client is unique, and that their needs are different from one to the next, compels our alternative investment specialists to create holistic, solution-orientated opportunities as strategies are developed to accommodated the management and exit preferences of our dynamic client base.
|Specialized expertise||Rigorous investment approach||Risk management|
|Teams are formed comprised of experts in specific fields of discipline. Supported by National AIM's global operating platform, innovative thinking compounded by specialist execution creates a powerful alternative investment solution.||Our research driven, prudent approach to the management if risk ensures that the alternative funds we recommend deliver a number of critical benefits to significantly enhance the performance of a diversified portfolio.||Accommodating the desired return profiles of our dynamic client base, we adhere to a centralized risk management framework with minor adaptations relative to the alternative investment arena. We focus on improving risk transparency whilst providing returns under the most efficient cause.|