Aros Paradigm Fund has now been up and running for over five months and we feel that it is time to give a more detailed update on how the Fund has performed.
Over the five months since launch in November 09 until end of March the portfolio has returned 8.78% with a correlation 0.4 to the equity market. Given the turbulence in the global financial market we are very pleased with the result; not least since our mission has been to generate a high risk adjusted return with a low correlation to the broader equity market.
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