AGC invests in liquid and complementary hedge funds across the following strategies:
- Global Macro
- Managed Futures/CTA
- Equity Long/Short
- Event Driven
AGC's strong hedge fund industry relationships provide access to top-tier institutional hedge funds that are currently closed and not accessible to most industry participants. All funds included in the portfolio have an excellent long-term track record of strong returns and have demonstrated exceptional risk management capabilities.
AGC actively manages the portfolio to optimize the risk/return characteristics for investors and the portfolio is designed to deliver attractive returns, with low volatility, irrespective of the prevailing market conditions.