Pacific G10 Macro Rates


Fund Strategy Macro
Fund Geography Global
Investment Advisor Pacific Asset Management
Portfolio Manager Shayne Dunlap, Richard Marshall, Oleg Gustap
Fund Currency USD
Fund AUM $44.2m
Fund AUM (GBP) £33m
Fund AUM as of 31 July 2019
Fund Inception 08 March 2019

Fund Objective

The G10 Macro Rates Strategy is an interest rate and FX macro strategy, implemented in a relative value style, aiming to deliver positive returns with a low correlation to equity and bond markets. The strategy is managed by a highly experienced team, with an outstanding track record of managing liquid diversified strategies. The team applies an established and disciplined investment process with a focus on implementation efficiency, centred around a G10 mandate.


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