Wellington Multi Asset Absolute Return Fund


Fund Strategy Multi Asset
Fund Geography Global
Investment Advisor Wellington Management
Portfolio Manager Stephen A Gorman
Fund Currency USD
Fund AUM $35.5m
Fund AUM (GBP) £26m
Fund AUM as of 20 February 2019
Fund Inception 26 April 2017
Fund Indices AH Multi Asset UCITS Index

Fund Objective

The Wellington Multi-Asset Absolute Return Fund seeks absolute returns above a cash benchmark over the medium to long term. The Investment Manager will actively manage the Fund, seeking to achieve its objective by investing on a long and/or short basis either directly or via derivatives in a broad range of asset classes and geographies. The Bank of America Merrill Lynch USD LIBOR 3-Month Constant Maturity Total Return index will serve as the cash benchmark.


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