Man GLG European Equity Alternative
|Fund Strategy||Market Neutral|
|Investment Advisor||GLG Partners|
|Portfolio Manager||Neil Mason, Fabian Blohm|
|Fund AUM (GBP)||£880m|
|Fund AUM as of||31 October 2018|
|Fund Inception||26 July 2011|
AH Market Neutral UCITS Index
Sub Index - Market Neutral Discretionary
The GLG European Equity Alternative (the ‘Fund’) investment objective is to provide investors with positive returns primarily through investments in issuers in Europe and of issuers which derive a substantial part of their revenues from activities in Europe. The Fund will be managed in accordance to the strategy described below.
The GLG European Long-Short strategy is a highly diversified, long / short, market neutral equity strategy, predominantly investing in Europe, which allocates capital to a series of trading books which represents the bottom-up stock selection ideas of a broad based team driven by fundamental analysis.