World Fund II, LP Investment Strategy
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The World Opportunity Master Fund’s database probes 26 criteria on every prospective, current probationary, & past fund manager
The majority of managers employ “relative value” and arbitrage strategies, reducing overall market sensitivity.
A core tenet in the manager selection process is the General Partner’s proprietary method of assessing the history risk profile, management style and integrity of the management team.
The make up of the Fund’s portfolio of managers is the result of nineteen years of data mining, tracking, and investing. The General Partner is proud to make available to participating limited partners (investors) the opportunity to share in this unique investment.
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