The Permal Advantage
Multi-manager multi-strategy alternative investments
- Directional and absolute return portfolios
- Cover a wide range of strategies, regions and investment objectives
- Diversification tends to lower risk as compared to a single investment
Solid 37 year performance record
- One of the longest track records in the fund of hedge funds industry
- Stable and experienced management team
- Experience investing through many market cycles
- Standard & Poor's has rated, ranked, and awarded all Permal Multi-Manager Funds that meet their minimum three year requirement either AAA, AA or A ratings.
Ability to identify and access quality managers
- Long-term relationships with many well-known managers
- Reputation and experienced team attract new manager talent and ideas
- Most portfolio managers are co-investors and are compensated on performance
Innovator and broad investment capabilities
- A pioneer in the use of multi-manager funds since 1973
- Global presence: New York, Boston, London, Paris, Singapore, Dubai, Hong Kong, Tokyo and Nassau
Disciplined and rigorous investment process
- Experienced at due diligence and manager research
- Dynamic asset allocation seeking optimal portfolio mix
- Ongoing performance monitoring and risk management
Wide ranging client base
- Institutional, including sovereign wealth funds, public and private pension funds, insurance companies and asset managers
- High net worth investors
- Private banks
- Family offices
Please refer to the Standard & Poor's website which explains their methodology in assigning ranks: http://www2.standardandpoors.com/spf/pdf/products/FMRHedgeFundProcess.pdf
Advantage
