Purpose Multi-Strategy Market Neutral Fund
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About

The fund seeks to provide positive absolute returns uncorrelated to the broader securities markets. In achieving this, the fund implements multiple long/short strategies on a variety of asset classes including equities, fixed income, currencies and commodities. The fund considers multiple technical and fundamental factors in selecting its portfolio of global securities, such as valuation, growth, quantitative, rules-based scoring methodologies, interest rate differentials, price movement, and term structure risk premiums.

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