Schroder GAIA range
Offers investors access to a suite of leading hedge fund strategies within a liquid and trusted framework. This fund range taps into the most compelling strategies across the globe, and provides a gateway for attractive returns within a risk-controlled environment.
Our fund range
Two Sigma Diversified
A US equity market neutral and global systematic macro trading strategy that aims to deliver uncorrelated alpha with controlled volatility across a wide range of market environments. The strategy's philosophy is based on a combination of utilising vast data, world-class computing power and the expertise of over 600 modellers and engineers.
A long/short pan-Asian equity fund combining bottom-up stock selection with macro awareness in order to deliver high risk-adjusted returns while preserving capital during difficult market periods.
Schroder GAIA BlueTrend is a trend following strategy that invests across a broad range of markets, including equities, bonds, commodities, interest rates and currencies. The fund aims to generate long-term net returns of 10-15%1 per annum in any market environment.
A US focused credit long short strategy which aims to deliver 5-7%3 net of fees, with reduced volatility during all phases of the credit cycle. The strategy has shown very low correlation to credit and equity indices and aims to maximise expected returns while limiting downside risk.
Paulson Merger Arbitrage
Managed by John Paulson, Schroder GAIA Paulson Merger Arbitrage can help investors generate above average returns with low volatility and limited market correlation.
Sirios US Equity
Is a fundamental equity long short UCITS fund, which focuses on mid to large cap equities primarily in the US, but also in Europe and Asia.
Schroder GAIA Conatus Equity
A global equity long/short fund investing in developed and emerging markets. The fund is built on fundamental bottom-up research, informed by top down views.
1 Please note that this is a performance target and is not guaranteed.
2This target is for internal fund management purposes only, it is not a guarantee or indication of future fund returns. The numbers quoted represent targets that are gross of management fee and other expenses.
3Note that this is a target only and is not guaranteed.