Global Absolute Return Fund

Targeting an absolute return over 12-month rolling periods

Launch Date31.12.2018
Base CurrencyUSD
DenominationsUSD/GBP/EUR
DomicileIreland
US$130.80
USD Class I Acc
NAV per share 01.12.2022
€104mAUM

AUM 28.10.2022

Holdings
As at 28.10.2022