The GQ Original Fund program range comprises portfolios that target a positive return, whatever the direction of the market. Our range of absolute return funds stand out in the market for having a strong track record, with all of our absolute return strategies outperforming their benchmarks over three and five-year periods.*
Our diverse fund range offers investors the ability to capture our best ideas for investment in their respective asset classes. Each specialist investment team tailors their choice and combination of investment approaches to reflect the characteristics of the markets in which they invest. The risk framework is tailored to the investment universe and approach.
Our investment process is designed to generate a large number of original and uncorrelated investment ideas, encouraging a high level of embedded diversification within our funds. Each fund typically contributes to a portfolio’s stability, diversification and upside capture to a varying degree.
The diversity of investment universes and investment approaches, within a consistent risk management framework, means the individual strategies lend themselves to being held together in a portfolio