Welcome to the third edition of the Multi Manager Target Return Fund quarterly updates.
We review some key moments and economic events impacting on stock markets and investor confidence during quarter three (from July to September)
Which asset classes were up and which were down?
A review of the structure of the fund and a summary of the fund managers and their strategies
An insight from the Peter Haran, Head of Alternatives, on how the managers’ funds and strategies performed
We take a look at the drivers of the very strong performance since launch in January (+7.0%) by strategy and by individual fund.